Recreating bills of exchange

Use this procedure to recreate a bill of exchange that is canceled. You will manually create a bill of exchange similar to customer issued bills of exchange.
  1. Sign in as Receivables Specialist or Receivables Manager.
  2. For Receivables Specialist, select Bill Of Exchange Processing > Customer Bill of Exchange Entry.
    For Receivables Manager, select Processing > Bill Of Exchange Processing > Customer Bill of Exchange Entry.
  3. Select a bill of exchange record and click Recreate. Recreate the bill of exchange using the correct amount, payment code, or any other data that is not correct. You can use the same bill of exchange number and apply the same or different open items to the recreated bill of exchange.
  4. Click Release to release the bills of exchange. After you release a customer bill of exchange, the bill of exchange status is Accepted. It can be selected for remittance and applied to open items.
    After the bill of exchanged is released, the Applications button is displayed.
  5. Click the Applications button to open On Account Application. Apply bills of exchange to open or partially applied obligations or to partially apply bills of exchange to obligations.
    If you adjust the applications, then use Application Adjustments.