1 of 56 3.1: Multi-Currency Payments / DA0813 Last updated: 05-00 Project Walkthrough: Multi-Currency Payments Multi-Currency Payments.

Slides:



Advertisements
Similar presentations
1 of 29 DA Purchase Invoice Matching to Goods Received Last updated: DA0533 Purchase Invoice Matching to Goods Received DA Purchase Invoice.
Advertisements

1 of 22 International Reports Phase 2/ DA0539-w1 Last updated: International Reports Phase 2.
Landed Costs.
Broker Portal ECF Enhancements Screen Navigation Walkthrough Please progress through the walkthrough by clicking your mouse button following each informational.
Vendor Analysis. 2 of : Vendor Analysis / DA0199-w1 Last updated: Vendor Analysis Information in Inventory Control Introducing numerous modifications.
1 of 39 DA1245 Enhanced Transaction Tracking Last updated: March-2009 DA1245 Enhanced Transaction Tracking.
Line Item Accounting Eaglesoft 16.
An in-depth look at QuickBooks Multi-Currency functionality.
1 of 30 G/L Journal Authorisation / DA00594-w1 Last updated: G/L Journal Authorisation.
Accounts Payable Enhancement An Enhancement For iSeries 400 DMAS from  Copyright I/O International, 2006, 2008 Skip Intro.
Last Updated: March of 55 DA Sales VAT Postings.
1 of 17 DA Centralised Stock, BOM & Route Maintenance Last updated: DA Centralised Stock, BOM & Route Maintenance DA0770 Centralised.
 Copyright I/O International, 2013 Visit us at: A Feature Within from Vendor Payment Terms User Friendly Maintenance 
1 of 12 DA1244 Retrospective AR & AP Statements Last updated: March-2004 DA1244 Retrospective AR & AP Statements.
1 of 20 Lot Attributes & Pallet Numbers / DA w1 Last updated: Lot Attributes & Pallet Numbers.
1 of 23 DA1236 Prepayments Last updated: March-2004 DA1236 Prepayments.
1 of 24 G/L Journal Text Extensions / DA0583-w1 Last updated: G/L Journal Text Extensions.
Top Reasons why users call ECCA. Agenda Reason for the call: What is the question or problem? Reason for the call: What is the question or problem? Answer.
1 of : Multi-Currency Receipts / DA0814 Last updated: Project Walkthrough: Multi-Currency Receipts Multi-Currency Receipts.
6 th Annual Focus Users’ Conference 6 th Annual Focus Users’ Conference Accounts Receivable Presented by: Robert Myers Presented by: Robert Myers.
New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.
NextGen Trustee Receipting
Chapter 11 THE REVENUE CYCLE. Introduction Revenue cycle: 1. Respond to customer inquiries 2. Develop agreements with customers to provide goods and services.
Slideshow 3 Setting Up the ACCOUNTS PAYABLE Module.
1 of 9 DA1243 A/R Reminder Letter Enhancements Last updated: March-2004 DA1243 A/R Reminder Letters Enhancements.
1 of : Commercial Papers Enhancements (Phase 1) / DA0797 Last updated: Project Walkthrough: DA Commercial Papers Enhancements (Phase.
©2008 TTW Where “Lean” principles are considered common sense and are implemented with a passion! Product Training Sales Invoices.
McGraw-Hill/Irwin Introduction to QuickBooks Pro, 2004 © 2005 The McGraw-Hill Companies, Inc., All Rights Reserved. Chapter 4 Bank Reconciliation.
2013.  Reconcile your checking account  Create bank reconciliation reports  Find errors during reconciliation  Correct errors found during reconciliation.
1 of : Single Point Cash Receipting / DA0382-w1 Last updated: Single Point Cash Receipting.
1 of 22 Consolidated Requisitions / DA0682-w1 Last updated: Consolidated Requisitions.
©2008 TTW Where “Lean” principles are considered common sense and are implemented with a passion! Product Training Cash and Cash Management.
1 of 55 DA0514 Extended Discounts Last updated: June-2002 DA0514 Extended Discounts.
NextGen Trustee Department Disbursements This class will cover the various methods of handling department disbursements. Whether entering them manually.
©2008 TTW Where “Lean” principles are considered common sense and are implemented with a passion! Product Training Purchase Invoices.
ICP Kit 2011 HHC Data Entry Module The World Bank ICP Kit Training African Development Bank.
FlexGen Trustee Review Class In this session we will review dashboard receipting, troubleshooting day end issues, pitfalls of assessment changes, adding.
1 of 26 DA930-Project Enquiry Enhancements Last updated: December 2001 DA Project Enquiry Enhancements/Project Issues from Stock Improvements.
NextGen Budgeting Presented by: Julie Carroll Local Government Corporation Resource 2015.
1. To start the process, Warehouse Stationery (WSL) will invite you to use The Warehouse Group Supplier Electronic Portal and will send you the link to.
Slideshow 2 Setting Up Bank Services, Tax Services and Schedule Codes.
SRM Free Text Carts SRM_SHO_303 SRM Free Text Carts.
CUG Request from 2010 and 2011 User Group Meetings Cortex User Group Meeting Portland, OR – 2012.
POINT OF SALE ZETA ERP. ZETA POS.
Understanding Multicurrency Presented By: Ian Richardson BA CPA CGA.
13-1 Sequential File Processing Chapter Chapter Contents Overview of Sequential File Processing Sequential File Updating - Creating a New Master.
Page 1 Cash Application By MIS Department. Page 2 Enter your User ID and Password here Note: User ID and Password are initially assigned by MIS. You will.
1 of 11 DA1251 German Specific Controls Last updated: March-2004 DA1251 German Specific Controls.
1 Work Orders. 2 Generating a Work Order There are two methods to generating a Work Order in the WYNNE STSTEM. First method: Option 11 – 12 – 13 * Open.
Midwest alio ® Conference November 13-14, 2013 Fixed Assets Michael Williams.
It is a complete O 2 C Presentation which will help you : To Overview Order Management complete process. TO describe the Order Management process flow.
Managing Revenue Chapter 2. PAGE REF #CHAPTER 2: Managing Revenue SLIDE # 2 Objectives Set up customer records in the Customer:Job list Record Sales Receipts.
Chapter 2 Page ref. Chapter 2 Managing Revenue 31.
Bank Reconciliation. Process of balancing your check book Compare your bank statement to your records in QuickBooks to ensure that bank shows what you.
Managing Expenses Chapter 3. PAGE REF #CHAPTER 3: Managing Expenses SLIDE # 2 Objectives Set up vendors in the Vendor list Understand how to use classes.
Bank Reconciliation Chapter 4. PAGE REF #CHAPTER 4: Bank Reconciliation SLIDE # 2 Objectives Reconcile your checking Create bank reconciliation reports.
Nextgen Bank Reconciliation Resource Bank Reconciliation Menu Financial Management Bank Reconciliation –Import Bank Statements –Reconcile Bank Accounts.
1  Tata consultancy services Bank and Cash Transactions (Accounts Payable)
NextGen Trustee GL/Accounting This class will cover NextGen Financial Management for Trustee Offices. We will look at GL accounts, Transactions, Bank Reconciliation,
NextGen Budgeting Resource 2016 Local Government Corporation.
Slideshow 5 Accounts Payable Setting Up Company Data Files 5.2.
Local Government Corporation Resource 2016 NextGen Trustee Year End.
Welcome to Bookkeeping This is your introduction to MYOB v19 Accounting.
Requisitions from Stock
NextGen Trustee Receipting
NextGen Trustee General Ledger Accounting
DA0492 BOM /Route Supersessions & Alts.
Cash and Cash Management
Product Training Purchase Invoices
Utility Billing Balancing the Accounts Receivable
Presentation transcript:

1 of : Multi-Currency Payments / DA0813 Last updated: Project Walkthrough: Multi-Currency Payments Multi-Currency Payments

2 of : Multi-Currency Payments / DA0813 Last updated: Overview Generating Multi-currency Extension Records Accounts Payable Multi-currency Extensions Extend A/P Cash (Multi Curr) (cv_pl_cash_mc) Manual Cash Payments Manual Cash Payments Overview Cash (pl_cash_entry) Enquiring upon Posted Transactions Transactions (pl_open_item_enq) Period Transactions (cb_transaction_enq) Cash Audit Trail (pl_cash_audit) Overview Generating Multi-currency Extension Records Accounts Payable Multi-currency Extensions Extend A/P Cash (Multi Curr) (cv_pl_cash_mc) Manual Cash Payments Manual Cash Payments Overview Cash (pl_cash_entry) Enquiring upon Posted Transactions Transactions (pl_open_item_enq) Period Transactions (cb_transaction_enq) Cash Audit Trail (pl_cash_audit) Contents: 1

3 of : Multi-Currency Payments / DA0813 Last updated: Payment Currencies Suppliers (pl_supplier_entry) Automatic Payments Cash Required Report (pl_cash_required_report) Create Payments List (pl_create_payments) Modify Payments List (pl_payment_maint) Generate Payments From List (pl_print_rem) Remittance Advices (pl_remittance_advice) Housekeeping Period-End (pl_period_end) Transactions (pl_open_item_enq) Payment Currencies Suppliers (pl_supplier_entry) Automatic Payments Cash Required Report (pl_cash_required_report) Create Payments List (pl_create_payments) Modify Payments List (pl_payment_maint) Generate Payments From List (pl_print_rem) Remittance Advices (pl_remittance_advice) Housekeeping Period-End (pl_period_end) Transactions (pl_open_item_enq) Contents: 2

4 of : Multi-Currency Payments / DA0813 Last updated: Licensing the project DA0813 (Multi-currency payments) provides the following functionality enhancements to your system: Cash payments or returns can be entered against a supplier account in a currency that may be different to the original invoice currency, the bank currency and the base currency The cash transaction currency code and the transaction amounts (in the cash transaction currency) are posted to the Open Item file The transaction payment currency and amount are posted to the Cash Management bank account Allowed and preferred payment currencies can be defined for suppliers Mixed currency payments lists can either be allowed or prevented from being generated – the generated lists can print the payment, base, transaction and account currencies if the applicable fields on the relevant forms have been activated Licensing the project DA0813 (Multi-currency payments) provides the following functionality enhancements to your system: Cash payments or returns can be entered against a supplier account in a currency that may be different to the original invoice currency, the bank currency and the base currency The cash transaction currency code and the transaction amounts (in the cash transaction currency) are posted to the Open Item file The transaction payment currency and amount are posted to the Cash Management bank account Allowed and preferred payment currencies can be defined for suppliers Mixed currency payments lists can either be allowed or prevented from being generated – the generated lists can print the payment, base, transaction and account currencies if the applicable fields on the relevant forms have been activated Overview

5 of : Multi-Currency Payments / DA0813 Last updated: Generating Multi-Currency Extension Records

6 of : Multi-Currency Payments / DA0813 Last updated: A conversion option is provided with the introduction of Multi-Currency payments for the following types of Accounts Payable transactions: Cash A conversion option is provided with the introduction of Multi-Currency payments for the following types of Accounts Payable transactions: Cash Accounts Payable Multi-currency Extensions

7 of : Multi-Currency Payments / DA0813 Last updated: This option allows multi-currency extension records to be created for all Accounts Payable cash batches on file at the time DA0813 is licensed It is recommended that you run this option as a test first – any errors generated and reported to the System Log can then be corrected When you are satisfied that the conversion runs without generating any errors, rerun the conversion leaving the Run in test mode? checkbox blank – to update the Accounts Payable Cash file with the currency extension record ‘mc’ Extend A/P Cash (Multi Curr) (cv_pl_cash_mc)

8 of : Multi-Currency Payments / DA0813 Last updated: Manual Cash Payments

9 of : Multi-Currency Payments / DA0813 Last updated: The Multi-Currency payments enhancements remove the currency restrictions on booking cash payments and returns to an account by allowing the cash to be booked against a supplier’s account in in a currency that may be different to: the supplier currency the original invoice currency the bank currency and the base currency The example on the following slides demonstrates a euro (EUR) credit card payment being booked to a dollar bank account (USD) against an account denominated in francs (FRF) The underlying base currency is in sterling (GBP) Note: Simpler payment combinations are available but are not detailed in this walkthrough The Multi-Currency payments enhancements remove the currency restrictions on booking cash payments and returns to an account by allowing the cash to be booked against a supplier’s account in in a currency that may be different to: the supplier currency the original invoice currency the bank currency and the base currency The example on the following slides demonstrates a euro (EUR) credit card payment being booked to a dollar bank account (USD) against an account denominated in francs (FRF) The underlying base currency is in sterling (GBP) Note: Simpler payment combinations are available but are not detailed in this walkthrough Manual Cash Payments Overview

10 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) Enter your cash batch number or F6-Next to generate the number automatically and CR-Accept Enter or browse for the Bank Code With Multi-currency payments installed, the Bank Currency is displayed for reference

11 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) As before, the default Item number is displayed and can be amended if required

12 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) Enter or browse to select the supplier Account number From this point, it is possible to CR-Accept and move to the cash header information Optionally, you can enter the Item Amount And Currency code – which can also be selected via Browse

13 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) The transaction amount (Item Amount) can be entered in any currency from the Currency file, irrespective of the bank and supplier currency This example demonstrates a euro (EUR) payment Being posted to a dollar (USD) bank account Against a supplier account denominated in francs (FRF) – demonstrated on the next window Again, from this point, it is possible to CR- Accept and move to the cash header information, alternatively, if you know the dollar value of the transaction, i.e. the Bank Value...

14 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) …you can enter the value in this field – this will be the value posted to the bank account in Cash Management

15 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry)...and currency are carried forward from the previous input screen The transaction value... The values in the currency of the supplier account are calculated from the item value and the exchange rate defined in the Currency file FRF = EUR * The values in the currency of the supplier account are calculated from the item value and the exchange rate defined in the Currency file FRF = EUR * The base currency values are also calculated from the item value and exchange rate defined in the Currency file GBP = EUR * The base currency values are also calculated from the item value and exchange rate defined in the Currency file GBP = EUR * To allocate the cash payment against the open items on the supplier account, select F6- Automatic

16 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) Note that the transaction currency is displayed automatically However, you can toggle the display between the transaction, supplier account and original item currencies by selecting F13-Switch For this example, invoice number B234 has been selected

17 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) The total amount allocated is recorded in this field To check the exchange rate between the transaction currency and the supplier currency, select F11-More

18 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) To display the F11 Extra option selection window Then select the option Exchange Rates and CR-Select Note: This window also enables you to i) enter the transaction using the supplier’s account currency (select Switch Allocation Currency), ii) clear all the cash allocations entered (select Clear Current Allocations) – you can then re-enter the cash allocations as required, iii) reset the exchange rates to those held in the Currency file – if you have amended the exchange rates (select Reset Exchange Rates)

19 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) All the currency exchanges used in this particular transaction can be viewed / amended as required As we want to check the exchange rate between the transaction and the supplier currency we select EUR to FRF rate then CR-Select All the currency exchanges used in this particular transaction can be viewed / amended as required As we want to check the exchange rate between the transaction and the supplier currency we select EUR to FRF rate then CR-Select

20 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) In this example the rate is fixed so we cannot amend it – CR-Continue then ESC-Exit to return to the cash header information (unless you wish to check / amend another exchange rate)

21 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) When we try to accept these cash transaction values, a warning is displayed The difference of 0.01 is the result of the transaction value in FRF being calculated from the EUR transaction value of EUR * = and the invoice value in the account currency (FRF) of Note: (FRF Invoice value) / (Exchange rate) = (EUR transaction value) The difference of 0.01 is the result of the transaction value in FRF being calculated from the EUR transaction value of EUR * = and the invoice value in the account currency (FRF) of Note: (FRF Invoice value) / (Exchange rate) = (EUR transaction value) You can select to: write off this difference or adjust the account currency amount You can select to: write off this difference or adjust the account currency amount

22 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) If you select to write off the difference (F4 from the popup warning window), the difference is written to this field

23 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) If you select to adjust the account currency amount (the FRF amount) (F8 from the popup warning window), the account amount is adjusted to match the difference In this example, the account currency amount is decreased by 0.01 When entering a cash payment, if the base currency is different to the transaction currency and the bank currency (as in this example), the local amount is made available for amendment – amend the local amount if required

24 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) The exchange difference is calculated automatically, if applicable

25 of : Multi-Currency Payments / DA0813 Last updated: Cash (pl_cash_entry) Confirming the cash details returns you to the Cash entry window where you are prompted to enter a new item Note that the amount in the supplier’s currency is now available

26 of : Multi-Currency Payments / DA0813 Last updated: You can continue to enter as many items as required into the batch – however, if you need to amend an item F8-Select, position the cursor against the item you wish to amend and CR-Accept, this will take you to the cash header information for that item Cash (pl_cash_entry) ESC-Exit when you have finished entering all the items into the batch and are ready to post the batch

27 of : Multi-Currency Payments / DA0813 Last updated: Enquiring upon Posted Transactions

28 of : Multi-Currency Payments / DA0813 Last updated: Transactions (pl_open_item_enq) This option has been enhanced to allow an enquiry on the transaction amounts in the local currency as well as any alternate currencies The transaction amounts in the base currency are displayed as standard – select F4-Other to display the amounts in other currencies With Multi-currency payments installed you can also view the transaction details – highlight the item required... …and select F12-More

29 of : Multi-Currency Payments / DA0813 Last updated: Transactions (pl_open_item_enq) …to display the menu for Choosing further enquiry options From this window select ‘Transaction details’...

30 of : Multi-Currency Payments / DA0813 Last updated: Transactions (pl_open_item_enq) …to view the transaction currency... …the transaction amount – in the transaction currency... …and the bank details

31 of : Multi-Currency Payments / DA0813 Last updated: Period Transactions (cb_transaction_enq) With Multi-currency payments installed, select F4-Toggle to view the transaction payment currency and amount and the statement item currency and amount This option shows the Accounts Payable cash payment example posted to the Cash Management dollar bank account Note: This additional functionality is also available for the enquiry option Future Transactions (cb_future_trans)

32 of : Multi-Currency Payments / DA0813 Last updated: Cash Audit Trail (pl_cash_audit) With Multi-currency payments installed, the payment......base...

33 of : Multi-Currency Payments / DA0813 Last updated: Cash Audit Trail (pl_cash_audit)...transaction... …and account currencies, and values are detailed on the Cash Audit Trail Note: The transaction currency, and cash/ payment amounts in the transaction currency are also available for printing on remittance advices

34 of : Multi-Currency Payments / DA0813 Last updated: Payment Currencies

35 of : Multi-Currency Payments / DA0813 Last updated: Suppliers (pl_supplier_entry) Payment currencies are defined for individual suppliers via the Suppliers master file and subsequently used when generating automatic payments To define payment currencies for the supplier, select F7-Allowed from the Supplier maintenance continued window (page 2)

36 of : Multi-Currency Payments / DA0813 Last updated: Suppliers (pl_supplier_entry) This displays the currency codes held in the Currency file To define a currency code as a payment currency, highlight a code and Enter-OK

37 of : Multi-Currency Payments / DA0813 Last updated: Suppliers (pl_supplier_entry) To add another currency to the list of allowed payment currencies, select F4-Add, again highlight a currency code from the list of currency codes displayed and Enter-OK If you have selected more than one allowed payment currency (as in this example), when you return (Esc- Return) to the Supplier maintenance continued window you can optionally define the Preferred payment currency for the supplier by typing the currency code in this field Each suplier can hold an unlimited number of payments currencies

38 of : Multi-Currency Payments / DA0813 Last updated: Automatic Payments

39 of : Multi-Currency Payments / DA0813 Last updated: Cash Required Report (pl_cash_required_report) To enable a true reflection of the amount due for settlement on a particular date, this additional field has been provided allowing you to choose whether you want the cash required amounts in base currency to be revalued as of the date entered in the Date cash required field (tick this field) or whether the cash required amounts in base currency are set to the original base amounts (leave this field blank) The Cash Required report is run before producing remittance advices to determine how much is due for settlement This report has been enhanced to print the payment, base, transaction and account currencies, producing sub-totals for local, foreign and sub-denomination currencies The Cash Required report is run before producing remittance advices to determine how much is due for settlement This report has been enhanced to print the payment, base, transaction and account currencies, producing sub-totals for local, foreign and sub-denomination currencies Note: You should tick this field if you revalued your currencies when generating payments via the option Generate Payments From List prior to DA0813 being installed

40 of : Multi-Currency Payments / DA0813 Last updated: Cash Required Report (pl_cash_required_report) With Multi-currency payments installed, you can select your currency requirements for the report from this additional group of fields And by defining a currency group in this field, you can use the supplier's preferred currency code to further narrow the report selections

41 of : Multi-Currency Payments / DA0813 Last updated: Create Payments List (pl_create_payments) This option has been enhanced to allow generation of multiple payments lists and single currency payments lists In line with the Cash Required report, the payment, base, transaction and account currencies can be printed if the relevant fields on the applicable forms have been activated This option has been enhanced to allow generation of multiple payments lists and single currency payments lists In line with the Cash Required report, the payment, base, transaction and account currencies can be printed if the relevant fields on the applicable forms have been activated Select F6-Next to generate an automatic Payment List number Enter your selections as before, however, to use the supplier's preferred currency code for narrowing selection for the List, define a currency group in this field

42 of : Multi-Currency Payments / DA0813 Last updated: Create Payments List (pl_create_payments) As for the Cash Required report, this additional field allows you to select whether you want the payment amounts in base currency to be revalued as of the date entered in the Remittance Date field If you leave this field blank, the payment amounts in base currency are set to the original base amounts As for the Cash Required report, this additional field allows you to select whether you want the payment amounts in base currency to be revalued as of the date entered in the Remittance Date field If you leave this field blank, the payment amounts in base currency are set to the original base amounts Note: Again, you should tick this field if you revalued your currencies when generating payments via the option Generate Payments From List prior to DA0813 being installed

43 of : Multi-Currency Payments / DA0813 Last updated: Create Payments List (pl_create_payments) When you CR-Accept your Payment List requirements, with Multi-currency payments installed the Payment Details window is displayed – this is where you select your currency requirements One additional field is however displayed in this window that is not available in the Cash Required report The system key PLSINGLIST holds a list of payment types, e.g. C that require single currency payment lists If the Payment type entered in this field is defined in PLSINGLIST... One additional field is however displayed in this window that is not available in the Cash Required report The system key PLSINGLIST holds a list of payment types, e.g. C that require single currency payment lists If the Payment type entered in this field is defined in PLSINGLIST......this field must be ticked Select CR-Confirm...

44 of : Multi-Currency Payments / DA0813 Last updated: Create Payments List (pl_create_payments) …and enter a description for the Payments List CR-Confirm once more to generate the Payments List Note: Any number of Payments Lists can be generated before generating the actual payments – modify the currency requirement selections, etc. for each individual List, as required

45 of : Multi-Currency Payments / DA0813 Last updated: Modify Payments List (pl_payment_maint) With the enhanced functionality of enabling multiple payments lists to be produced, this option has been modifed to allow selection of a single Payments List for modifying, printing or deleting Type in a valid Payments List number or select the Payments List number via F2-Browse

46 of : Multi-Currency Payments / DA0813 Last updated: Modify Payments List (pl_payment_maint) Select an option from the list of options displayed and CR-Confirm – for this example, Maintain details has been selected Note that the Payments List number and description entered when the List was generated are displayed for reference

47 of : Multi-Currency Payments / DA0813 Last updated: The Payments List details are displayed as before Modify Payments List (pl_payment_maint) An additional function key, F14-Toggle is however available for viewing the amounts in any alternative currencies Note that the Payments List number and description are again displayed for reference

48 of : Multi-Currency Payments / DA0813 Last updated: Generate Payments From List (pl_print_rem) This option has been modified in line with the Create and Modify Payments List options, by allowing selection of a single Payments List from the multiple lists held in the Proposed Payments file Type in a valid Payments List number or select the Payments List number via F2-Browse Type in a Payment Batch Number or F6-Generate to use the next sequential batch number Note: As the currencies can now be revalued when the Payments List is generated, the option to revalue currencies is no longer available here

49 of : Multi-Currency Payments / DA0813 Last updated: Generate Payments From List (pl_print_rem) If the payment method for the List is M, B, or T, type additional references in the 2nd Ref/Cheque No. field to identify the payment in the Open Item file and Cash Management If the payment method is C (cheque), type the starting cheque number If the payment method for the List is M, B, or T, type additional references in the 2nd Ref/Cheque No. field to identify the payment in the Open Item file and Cash Management If the payment method is C (cheque), type the starting cheque number The default bank code from the system key PLBANK is displayed automatically but can be amended if required CR-Accept to generate the payment batch Note: The original transaction currency codes and values as well as the payment currency may be printed on the remittance advices if the relevant fields on the applicable forms have been activated

50 of : Multi-Currency Payments / DA0813 Last updated: Remittance Advices (pl_remittance_advice) This option can be run instead of the options Create Payments List and Generate Payments From List – the payment, base, transaction and account currencies can be printed if the relevant fields on the applicable forms have been activated Select F6-Next to generate an automatic Payment batch number

51 of : Multi-Currency Payments / DA0813 Last updated: Remittance Advices (pl_remittance_advice) Enter your selections as before, however, to use the supplier's preferred currency code to narrow selection for the payments run, define a currency group in this field As this option is run completely independently of any Payments Lists, you must select at this point whether you want the payment amounts in base currency to be revalued as of the date entered in the Remittance Date field If you leave this field blank, the payment amounts in base currency are set to the original base amounts As this option is run completely independently of any Payments Lists, you must select at this point whether you want the payment amounts in base currency to be revalued as of the date entered in the Remittance Date field If you leave this field blank, the payment amounts in base currency are set to the original base amounts

52 of : Multi-Currency Payments / DA0813 Last updated: Remittance Advices (pl_remittance_advice) When you CR-Accept your Remittance Advice requirements, with Multi-currency payments installed the Payment Details window is displayed – this is where you select your currency requirements Note that unlike the option Create Payments List, there is no field available that will allow you to generate single currency payment batches CR-Confirm once more to generate the remittance advices and cheques

53 of : Multi-Currency Payments / DA0813 Last updated: Housekeeping

54 of : Multi-Currency Payments / DA0813 Last updated: Period-End (pl_period_end) This option has been enhanced for balance forward accounts to drop individual transactions from the Open Item file and replace them with a single item for the total debt for each transaction currency for each ageing period specified If your Accounts Payable holds balance forward accounts, type in the Ageing dates required and CR-Accept

55 of : Multi-Currency Payments / DA0813 Last updated: The results of a period end run can be seen on the next slide (Transactions (sl_open_item_enq)) Period-End (pl_period_end) If required, enter the fields on the Change effective dates screen – to update the effective dates of unposted invoices, cash and journals – and CR-Accept

56 of : Multi-Currency Payments / DA0813 Last updated: Transactions (pl_open_item_enq) With Multi-currency payments installed, for this balance forward account the period-end has dropped individual transactions from the Open Item file and replaced them with a single item for the total debt for each transaction currency for each ageing period specified