Creating an invoice batch

  1. Sign in as Receivables Specialist or Receivables Manager.
  2. For Receivables Specialist, select Invoices.
    For Receivables Manager, select Processing > Invoices.
  3. On the Invoice Batch tab, click Create.
  4. Specify this information:
    Company
    Select a company number.
    Invoice Batch
    Specify the transaction invoice batch number. If you selected the Automatic Batch Numbering field in Receivable Companies, then this field must be blank when you add a batch.
  5. On the Main tab, specify this information:
    Process Level
    Select the process level that is associated in the batch. The receivable code that is assigned to the process level is the default for the batch.
    Receivable Code
    Select the receivable code that is associated with all transactions in the batch. If this field is blank, then the receivable code of the process level is the default.
    Batch Date
    Select a date for the batch. If this field is blank, then the system date is the default.
    Post Date
    Select a Global Ledger posting date. If this field is blank, then the batch date is the default. If both the Batch Date and the Post Date fields are blank, then the application date is the default.
    Operator
    Specify an operator if you select the Operator ID Required field on the Entry tab of Receivable Companies. If this field is blank, then the name of the operator who signed in is used.
    Currency Table
    Select a currency table. The currency tables from the associated company system closing control or the Global Ledger company record are used.
    Currency
    Select the currency codes that are used for transactions. If this field is blank, then the currency of the customer is used for the transaction.
    Count
    Specify the total number of the invoices in the batch. If you select the Balance Batch Control Totals field in Receivable Companies, then the control count is equivalent to the entry count total.
    Invoice
    Specify the total invoice amount for the batch. If you select the Balance Batch Control Totals field in Receivable Companies, then the control count is equivalent to the entry count total.
    Debit Memo
    Specify the total debit memo amount for the batch. If you have selected the Balance Batch Control Totals field in the Receivable Companies, then the control count is equivalent to the entry count total.
    Credit Memo
    Specify the total credit memo amount for the batch. If you select the Balance Batch Control Totals field in the Receivable Companies, then the control count is equivalent to the entry count total.
    Batch Totals
    This field is required if you select the Balance Batch Control Totals field in the Receivable Companies. Specify the total number of transactions and the amount of each type of transaction.
  6. Click Save.
    The Transactions and Speed Entry tabs are now available.