Match Check with Customer Invoices
Explanation
This activity
is used to match a customer Check with customer debit and credit invoices. If
the Check is not completely matched, the remaining part is stored as a Payment
on Account or Difference Item.
When matching the Check with invoices, discounts can be
utilized, parts of invoices can be written off, difference items can be created,
and partial payments can be made. Invoices in other companies can also be
matched, and deduction used, as long as the customer is defined in the other companies.
A Check in one currency can be matched with invoices in
other currencies as long as all currencies are EMU
currencies i.e., you can
enter a Check in EUR and match it with invoices in DEM or FRF, or vice versa. Or
even enter a payment in DEM of invoices in FRF.
Prerequisites
The activity requires that you have registered Check
information in the Customer Check window.
System Effects
This entry does not cause any system effects until the
customer Check is saved. Then all matched invoices are paid, and an Open
Customer Check ledger item is created with the full Check amount. If the Check
is not fully matched, the remaining part will create a new Payment on Account or
a Difference Item with the unmatched amount. A voucher will be created in the
hold table in IFS Accounting Rules.
Window
Customer Check
Related Window Descriptions
Customer Check, Matching
Procedure
To match the check with customer invoices:
- In the Customer Check window,
right-click and click
Match/View
Invoices to open the
Matching
dialog box..
- Click New in the
Matching dialog box.
- If you want to enter an item for offset, enter the series and number in the
Series ID and No fields. The information in the Identity field appears automatically.
The correct value would automatically appear in the
Installment ID field if only one open installment exists for the
invoice. The rest of the fields will be automatically populated. You can
also select the relevant items from the
Select Batch of Invoices
dialog box by clicking Sel. Batch.
- If you want to enter a parked payment for offset,
select the Parked Payment check box. Enter the series ID and the
number of the relevant parked payment in the Series ID and No
fields. You can also click Sel. Batch and select the relevant parked
payments from the
Select Batch of Invoices dialog box.
- Select the New Item check box if you want to match the check with
a new difference item. If the New Item check box is selected, you are
required to enter a value in the Payment Terms field. Select an
appropriate tax code for the Tax Code field. You can modify the value
entered in the New Item Invoice Type field and specify a deduction
group for the new items in the Deduction Group field if required.
- To enter interest and fine to the matching invoice
or change the default values suggested, add values to Interest Amount
field
and Fine Amount field.
- Modify the interest date if required.
- Select the Print Diff Notice check box if you want a printout of
the difference notice to send to customer.
- To write-off an amount, select a write-off code and enter the write-off amount. Select the
Print Write-Off Notice check box if you want to send a write-off notice, but the write-off code does not send a write-off notice
by default.
- Enter text in the Text field and pre-post the new ledger item in
the code part fields if required.
- Click OK to save the information and return
to the Customer Check window.