Versions Compared

Key

  • This line was added.
  • This line was removed.
  • Formatting was changed.
Excerpt
hiddentrue

Find out how to create a new Financial Transactions

What does this section cover?

Table of Contents
minLevel2

Navigating to Financial Transactions

Info

Finance Application > Accounts Receivable > Financial Financial Transactions > Manage Financial Transactions

Explaining Financial Transactions  Fields

 Example

Invoices 

Name

Description

NumberThe transaction number of the invoice which is automatically generated on posting the invoice
Reference numberThe reference number of the invoice which is automatically generated on creating the invoice
Accounts receivable *The related accounts receivable
Financial transaction type *The financial transaction type. Only financial transaction types classified as invoices can be applied
Life cycle stateThe life cycle state of the invoice
Rejection reasonThe reason that the transaction was rejected.
Mandatory on conditions: is mandatory only if the transaction is rejected while being in draft life cycle state
CategoryThe category of the invoice. Only categories listed as allowed on the related financial transaction type can be applied

Issued on

The date that the invoice was issued
Posted onThe date that the invoice was posted
Due onThe date that the credit period for that specific invoice is ending.
Mandatory on conditions: If the invoice is posted 
Shared NotesShared notes for the invoice
Invoice Items *

A list of items which are invoiced by this financial transaction. The following aggregated amounts are also calculated dynamically:

  • Discount amount
  • VAT amount
  • Net amount
  • Total amount
  • Outstanding amount
  • Unsettled amount

It is mandatory to specify at least one invoice item

 

Credit note

Name

Description

Number
An auto generated number which uniquely identifies each Accounts ReceivableName *A name for the Accounts ReceivableDescriptionA description of the Accounts Receivable
 
The transaction number of the credit note which is automatically generated on posting the credit note
Reference numberThe reference number of the credit note which is automatically generated on creating the credit note
Accounts receivable *The related accounts receivable
Financial transaction type *The financial transaction type. Only financial transaction types classified as credit notes can be applied
Life cycle stateThe life cycle state of the credit note
Rejection reasonThe reason that the transaction was rejected.
Mandatory on conditions: is mandatory only if the transaction is rejected while being in draft life cycle state 
CategoryThe category of the credit note. Only categories listed as allowed on the related financial transaction type can be applied

Issued on

The date that the credit note was issued
Posted onThe date that the credit note was posted
Issue reasonA description of the reason that the credit note is issued
Shared NotesShared notes for the credit note
Invoices to creditThe invoices that were intended to be credited
Credit Note Items *

A list of items which are credited by this financial transaction. The following aggregated amounts are also calculated dynamically:

  • Discount amount
  • VAT amount
  • Net amount
  • Total amount
It is mandatory to specify at least one credit note item

 

Payment

Name

Description

NumberThe transaction number of the payment which is automatically generated on posting the payment
Reference numberThe reference number of the payment which is automatically generated on creating the payment
Accounts receivable *The related accounts receivable
Financial transaction type *The financial transaction type. Only financial transaction types classified as payment can be applied
Life cycle stateThe life cycle state of the payment
Rejection reason

The reason that the transaction was rejected.

Mandatory on conditions: is mandatory only if the transaction is rejected while being in draft life cycle state

Payment method *The payment method of that payment. Only payment methods listed as allowed on the related financial transaction type can be applied
Payment amount *The amount of the payment
CategoryThe category of the payment . Only categories listed as allowed on the related financial transaction type can be applied

Issued on

The date that the payment was issued
Posted onThe date that the payment was posted
Received on *The date that the payment was received.
Received by user *The user who actually received the payment.
Received by unit *The unit who actually received the payment.
Shared NotesShared notes for the payment
Invoices to payThe invoices that were intended to be paid
Bills to payThe bills that were intended to be paid

Voucher

The voucher that was used and resulted into creating and posting the payment. This information is available only if the payment was created by using a voucher

 

 

Refund

 

Name

Description

NumberThe transaction number of the refund which is automatically generated on posting the refund
Reference numberThe reference number of the refund which is automatically generated on creating the refund
Accounts receivable *The related accounts receivable
Financial transaction type *The financial transaction type. Only financial transaction types classified as refund can be applied
Life cycle stateThe life cycle state of the refund
Refund amount *The amount to be refunded
CategoryThe category of the refund. Only categories listed as allowed on the related financial transaction type can be applied

Issued on

The date that the refund was issued
Posted onThe date that the refund was posted
Issue reasonA description of the reason that the refund is issued
Shared NotesShared notes for the refund



Creating & Saving, Validations & Restrictions

ActionValidationsRestrictionsAdditional Information
Create
  •  
 
  •  
Save 
  •  
  •  

 

Creating an Accounts Receivable 

 

  1. Search using the criteria available in the summary page
  2. From the top menu click on the New to open the Financial Transactions  data entry page
  3. Rest of the steps
  4. ATTACHMENTS

    1. Include Page
      Attachments - Global
      Attachments - Global


  5. LOG INFORMATION

    The following information is automatically set by the system on saving the Financial Transactions

    1. Include Page
      Log Information - Global
      Log Information - Global


  6. From the Action Menu click on Save

System Processing

 

Note

Visit /wiki/spaces/WIP/pages/10010220 Financial Transactions for business examples related to Creating Financial Transactions


Panel
namegrey

Related Areas

Filter by label (Content by label)
showLabelsfalse
spacesV4Manual
showSpacefalse
excerpttrue
labelsfinancial-transactions-basics-r7,financial-transactions-advanced-r7,financial-transactions-admin-r7

Panel
namegrey

Popular Labels

Popular Labels
spaceKeyV4Manual
styleheatmap