Modify Payment Transaction
Explanation
This activity is used to modify the
payment transaction of a Load ID, which are related to AR/AP payments.
This includes payments with matched
invoices, prepayments as well as cashing of issued check items.
If the external file contains payments
for other companies, it is possible to select the specific company and the
company's related data, e.g. customer/supplier, invoice number, tax codes, etc.
You can also use this activity to resolve errors and warnings and/or to enter additional
information for the transaction, e.g. in order to complete the payment matching
or to add information for a new item.
Select a different transaction type, Series ID, invoice/prepayment number,
tax code, code parts, difference code and/or enter a text for detailed information
for the transaction. You can also create new items for the payment transaction,
if needed.
It is possible
to specify transactions for cashing issued checks. This type of transaction can
be used for supplier and customer related transactions. The system
automatically recognizes whether the transaction is for cashing a supplier check
item or cashing a customer repayment check item according to your selection of
the check ledger item. An issued
check item can be matched only with an external transaction, if both are of the
same supplier/customer type, currency and amount. If you do not know
the supplier/customer, currency or amount, leave the fields empty and the missing
information is retrieved from the check ledger item. You can cash checks only of
the current payment company, i.e. you cannot match the transaction with check
items of another company.
The possibilities of modification depend on the payment code type,
which is specified for the external payments.
Prerequisites
In order to perform this activity,
- A Load ID must have been entered in External Payment per
Load ID window.
- The payment must be related to AR/AP payments.
System Effects
As a result of this activity,
- Additional information about the payment transaction is given.
- Errors and/or warnings are resolved.
- The invoice matching is removed, if a transaction is changed to cash
issued checks
- When a transaction from cash issued check is changed to another type, the payment
document fields, in which check item is entered, are cleared.
- It is possible to transfer the payment transaction to mixed payment.
Window
External Payments
per Load ID
Related Window Descriptions
External Payments per Load ID
Procedure
To modify payment transaction:
- Open the External Payments
per Load ID window.
- Use the Search or Populate function
to find the specific Load ID and select the specific line.
- Modify the item, according to your preference.
- If needed, add additional information about the payment transaction in the
Text field.
- Save information.
To enter a payment transaction for a
new customer difference item:
- Open the External Payments
per Load ID window.
- Click
New
to create a new line.
- In the Transaction Type
field, select the value Customer Payment from the list.
- You can select another company
in the Company field, if the customer difference item should be
created in the other company.
Note: You should be associated to the other company, in order to
create a new item in the other company.
- Enter in the Payer/Payee
Identity field, the ID of the customer for which the new item should be
created. You can select the customer from the List of Values.
- Enter in the Payment Amount
field, the amount to be posted on the cash account. The new item will be
created in the AR with the opposite sign when mixed payment is approved.
- You can enter in the Message
Code field, the message code to with the transaction relates, if the
payment method is defined with message code.
- Select the New Item check
box.
- Enter in the New Item Invoice
Type field, the invoice type which should be used for the new item.
Note: The new item invoice type defined for the message code in
external payment parameter is displayed by default, if the message code
entered in the transaction line.
- Enter in the New Item Series
ID field, the invoice series which should be used for the new item.
Note: The new item series ID defined for the message code in external
payment parameter is displayed by default, if the message code entered in
the transaction line.
- Enter in the New Item Invoice
No field the invoice number for the new item, if no invoice number
series is defined for the invoice series.
- The Payment Term field
displays by default the payment term of the customer.
Note: The payment term defined for the message code in external payment
parameter is displayed by default, if the message code entered in the
transaction line.
- The Tax Code field
displays by default the tax code of the customer.
Note: The tax code defined for the message code in external payment
parameter is displayed by default, if the message code entered in the
transaction line.
- You can enter in the
Difference Code field the difference code or select the code from the
List of Values, which should be used for the new item. Depending on the set
up of the difference code, it is possible to create a difference notice,
when mixed payment is approved.
- Save the line.
- If the Allow Automatic
Matching check box is not selected in external payment parameters,
select Match and Check Selected Items from the context menu for the entered
line in order to validate your entry.
- The Proposed Action field
displays Create Diff Item. Due to this proposed action, a new
customer difference item will be created when the external payment is
transferred to mixed payment and the mixed payment is sucessfully approved.
To change a payment transaction in
order to create a new customer difference item with pre-posting instead of a
payment on account:
- Open the External Payments
per Load ID window.
- Search for the line, in which
the Proposed Action field displays Load Payment On Account.
- Select the New Item check
box.
- Enter in the New Item Invoice
Type field, the invoice type which should be used for the new item, if
the invoice type is not displayed by default.
- Enter in the New Item Series
ID field, the invoice series which should be used for the new item, if
the invoice series is not displayed by default.
- Enter in the New Item Invoice
No field the invoice number for the new item, if no invoice number
series is defined for the invoice series.
- The Payment Term field
displays by default the payment term of the customer and can be modified, if
needed.
Note: The payment term defined for the message code in external payment
parameter is displayed by default, if the message code entered in the
transaction line.
- The Tax Code field
displays by default the tax code of the customer and can be modified, if
needed.
Note: The tax code defined for the message code in external payment
parameter is displayed by default, if the message code entered in the
transaction line.
- Enter in the code parts B-J the
code part value for the preposting.
Note: The posting type IP21 should allow preposting for the relevant
code part.
- Save the line.
To enter a payment transaction for
cashing a supplier check item:
- Open the External Payments
per Load ID window.
- Click
New
to create a new line.
- In the Transaction Type
field, select the value Cash Issued Check from the list.
- In the Payment Document
Series Identity field, use the List of Values to select the check item
to be matched with the transaction. The party type displayed in the List of
Values informs which check is a supplier check or customer repayment check.
Note: The List of Values for the Payment Document Series Identity
field displays check items for the currency and payer/payee which can be
specified in the external payment detail line. I.e. if you want to display
check items independent of the currency and/or payer/payee, you should clear
the currency and/or payer/payee at first.
- Save the information.