Header (AP30)
The Header folder in Enter Invoices (AP30) is used to enter information for the Invoice that appears in the Header Section. If you are recalling an Invoice already entered into the Batch, the information that automatically displays on the screen is associated with the Invoice entered in the Header Section and can be modified as required.
The following list defines every field on the Header folder:
- In the Type section:
- In the Invoice Info section:
- Invoice Date - enter or select from the query an Invoice Date that is used along with the Payment Terms parameters in A/P Vendors (AP13) as the basis of calculating both the 'Due Date' and 'Discount Date' fields on this folder for the Vendor/Invoice.
- The 'Due Date is calculated based on either the Invoice Date plus the value in the 'No. Days to Payment' field in AP13 OR on the 'AP Terms Code' defined in AP13 for the Vendor listed in the Header record.
- The 'Discount Date' is calculated based on either the Invoice Date plus the value in the 'No. Days to Discount' field in AP13 OR
on the 'Discount Terms Code' defined in AP13 for the Vendor in the Header record.
Note: If the Batch/GL Posting Date is within the Current period, then the Invoice Date may be up to 180 days prior to and including the Period End date for the Current period. If the Batch/GL Posting Date is within the Next period, then the Invoice Date may be up to 180 days prior to and including the Period End date for the Next period.
- If the Batch/GL Posting Date is within the Current period, then the Invoice Date cannot be in the Next period.
- To post Invoices beyond the Current/Next Period End dates, you must set the Invoice Type to 'Future'.
- Due Date - the Due Date field is automatically populated with a suggested date based on the 'Invoice Date' entered and the Vendor's Payment Terms from AP13 (either the 'AP Terms Code' or the 'No. of Days to Payment'). If the 'No. Days to Payment' field in AP13 is set up for the Vendor, then the Due Date is the Invoice Date plus the 'No. Days to Payment'. If this field is blank and there are no Payment Terms set up for this Vendor, then the Due Date defaults to the Invoice Date. You can override this date by entering a new date or selecting a new date from the query.
- The Due Date of an Invoice is used by the Cash Requirements process to select Invoices for Payment.
- The Due Date field displays a value of HOLD when the the 'Hold Invoice' check box is selected. To remove the Hold, enter or select from the query a new Due Date. You can also de-select the 'Hold Invoice' check box and the system will recalculate the Due Date based on the Invoice Date plus the Payment Terms ('AP Terms Code' or 'No. of Days to Payment') set up in AP13.
- Discount Date - the Discount Date field is automatically populated with a suggested date based on the 'Invoice Date' entered and the Vendor's Discount Terms from AP13 (either the 'Discount Terms Code' or the 'No. Days to Discount'). If the 'No. Days to Discount' field in AP13 is set up for the Vendor, then the Discount Date is the Invoice Date plus the 'No. Days to Discount'. If this field is blank and there are no Discount Terms set up for this Vendor, then the Discount Date defaults to the Invoice Date. You can override this date by entering a new date or selecting a new date from the query.
- The Discount Date of an Invoice is used by the Cash Requirements process to select Invoices for payment with the advantage of the discount.
- Discounts are calculated and taken at the time of payment if the Discount Date is less than or equal to the Discount Date restriction specified when the Print Cash Requirements Report (AP40) is run.
- Hold Invoice - when selected, the 'Due Date' field is changed to HOLD and the Invoice is reported on AP40 as a memo only. When you de-select the Hold Invoice field, the Invoice is eligible for payment based on the Due Date and the options selected by AP40. The Due Date is automatically recalculated. You can also release an Invoice on Hold by entering or selecting a new Due Date from the query.
- Invoices on Hold appear in Display Vendor Accounts (AP45) with an Aging status of H.
- Separate Chq - when selected, a separate check is produced by the Cash Requirements process as payment for this Invoice. When de-selected, the payment for this Invoice may be aggregated along with other Invoices due from the same Vendor at the same time.
- Sales Rep - the Sales Rep field is automatically populated with a Sales Rep code when the Invoice is added to AP30 via S/A Outstanding Commission Print (SA56). This field is for information purposes only and cannot be edited.
- In the Message section, you can enter a brief note that prints along with the payment on the check stub. The Message can be a maximum of 30 alpha-numeric characters long. An example of an Invoice message appearing on the check stub is "August Freight". The message text appears under the Description heading on the check.
- In the Amounts section:
- Gross - enter the total on the Vendor's Invoice before early payment discounts. This is the amount paid unless discounts are applicable at the time of payment. The Gross Amount is expressed in terms of the Vendor's currency, with a Domestic Equivalent displayed to the right. Note: Credit amounts must be negative and Debit amounts must be positive.
- Discount - the Discount amount is calculated using the 'Discount Percentage' set up in AP13 for the Vendor. The Discount can be modified by entering a new Discount value in this field.
- If a payment for the Invoice is processed on or before the Discount Date, then the Invoice payment is reduced by the Discount amount. If the Bank listed on the Header folder is set up to hold a Foreign Currency in A/P Banks (AP01), then the Discount is calculated based on the Gross Amount. If the Bank listed holds Domestic Currency, the Discount is calculated on the Gross Amount less the Input Taxes set up in CC00/AP.
- Freight - the Freight field is used to enter Freight charges that are included in the Gross Amount. This field is only available when the Invoice Type is set to Payable, Credit or Future. This field is not available when the Invoice is a Freight Invoice or Credit.
- The amount entered here updates the Vendor's Freight statistics and is reported on the A/P Freight Analysis (AP60).
- Domestic Equivalent - Domestic Equivalents are calculated using the current Exchange Rate set up in Currency Entry
in (CC22) for the currency associated with the Vendor's Bank. The Vendor's Bank is displayed on this folder in the 'Vendor's Info' section. The GL Distributions of an Invoice can be entered using the Vendor's currency, but they will be converted to Domestic Equivalents for posting.
- In the Vendor's Info section:
- Branch - the Branch field defaults to the 'Branch Default' set up in AP13 for this Vendor. You can enter or select from the query a new Branch code. The Branch is used to associate the Invoice with a specific Branch or Sales Office in the business.
- The A/P Aged Trial Balance Print (AP83) report supports a Branch restriction that can be used to study liabilities for a specific Branch or Sales Office of the business.
- Bank - the Bank field defaults to the 'Bank Code' set up in AP13 for this Vendor. You can enter or select from the query a new Bank code. The Bank field is used to select the Bank account from which this Invoice should be paid. When the payment is processed, the Bank Code set up in AP01 specifies the GL accounts used for the Bank, Accounts Payable, Discount and Exchange.
- If the Bank holds a Foreign Currency (set up in AP01), the Domestic Equivalent will be calculated and displayed using the Bank's current Exchange Factor set up in AP01. GL Distributions are made using the Domestic Equivalent, therefore once the first GL Distribution line has been updated, the Bank code cannot be changed.
- The following reports have a Bank code restriction:
- A/P Aged Trial Balance (AP83)
- A/P Cash Requirement Print (AP40)
- A/P Reconciled Check Print (AP87)
- Pay To Vendor - the Pay To Vendor field defaults to the 'Pay To Vendor' field from AP13 for this Vendor. You can enter or select from the query a Vendor code in the Pay To Vendor field. This field allows for goods to be Invoiced by one Vendor the payment is re-directed to a different Vendor for those goods. The Invoice is posted to and purchasing history is updated against the source Vendor's code.
- If you create an invoice (invoice_1) for a vendor (vendor_A), and then
you assign the same invoice (invoice_1) to another vendor (vendor_B)
but change the Pay To Vendor from vendor_B to vendor_A, the following message displays:
"Invoice_1 already exists for VENDOR_A. You may not enter an Invoice for a vendor if it already exists under another Vendor with the same Pay To Vendor! OK".
When you click OK, you are returned to the header folder and the Pay To Vendor field returns to the default vendor for vendor_B.
- Enter Receipt Accrual - when selected, the Invoice is processed as a Receipt Accrual. When you select this check box and then press Tab, the 'Receipt Lines' folder automatically opens for assignment of the Receipt(s) to the AP Invoice. Note: In order to use the Receipt Accrual option, you must have 'Receipts Accrual Processing' selected in CC00/Purchasing.
- The 'Enter Receipt Accrual' check box is not available for Freight Invoices/Credits.
- The Options item on the top menu bar allows you to select the Freight
option. This opens AP32, and AP32 is only utilized by Vendor/Invoice records that are set to be Freight Invoices or Credits.
The following table outlines the functionality of each button on the Header folder:
Button Label |
Icon |
Functionality |
Submit |
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New transactions in AP30 are saved when the first GL Distribution record is entered. From that point on, the Update button is used to save changes on the Header, GL Distribution and Receipt Accrual folders. |
Delete |
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Deletes the current GL Distribution for the Vendor/Invoice record displayed in the Header section. To delete a Vendor/Invoice record, use the Delete Record in the Header section. The Delete option is not available for Invoices processed through AP31. |
Clear |
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The Vendor and Invoice fields in the Header section automatically clear and you can begin adding to the new record. |
Freight |
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This button is available when the Invoice is set to be a Freight Invoice or Credit on the Header folder. When clicked, AP32 automatically opens. AP32 allows you to distribute Freight amounts across the statistics of one or more Vendors for which the expenses were incurred rather than to the statistics of the Vendor who issued the Freight Invoice.
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A/P Invoices (AP30/Header)
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