| Receipt-related documents (tfacr6500m000)Use this session to view the receipt-related
documents for a selected business partner. You can select a document line and on the appropriate menu click one
of these commands: Show all Documents Lists all documents, including documents that are not related
to receipts. Invoices by Receipt-related Documents Starts the Invoices/Documents by Receipt-related Documents (tfacr6501m000) session. General Ledger Transactions Starts the Finalized Transaction Lines (tfgld1509m000) session.
Pay-by Business Partner The business partner from which you receive payments. This
usually represents a customer's accounts payable department. The definition
includes the default currency and exchange rate, the customer's bank relation,
the type of reminders you send to the business partner, and the frequency of
sending reminders. Top Parent Business partner The top parent business partner of the current structure. This
can be the top parent business partner of the Pay-by Business Partner field Receipt Original Receipt Company The company in which the transaction was created. Original Receipt Document Document Date The transaction date in Financials. The document
date is always registered in local time. Usually the document date is the same
date as the transaction date, except if you manually enter a different
transaction date in Financials or if the UTC time and the local time
differ by a day. Document Type The category of transaction of this receipt or linked
document. Receipt Company The company where the transaction was created and that
matches the company of the General Ledger transaction. Receipt Company The company from which the transaction originated. Initial Receipt Document The transaction type, document number, and line number of the document in the
company from which the transaction originated. Note This field is used for grouping purposes only, and
displays a document number in the following cases: - When an anticipated receipt or reconciliation document is
created, this field is used to group various anticipated receipt steps. In a
direct debit process, the direct debit batch can also be used to group these
anticipated receipts, but for a manual anticipated receipt no direct debit
batch number is available. In this case, this field displays the document of
the first anticipated receipt that is created.
- When an advance or unallocated receipt is assigned to
invoices or to other advance or unallocated receipts, this field is used to
group the assignment to the invoices, and to reverse the advance or unallocated
receipt. In this case, this field displays the assignment document.
Replaces Invoice If this check box is selected, a trade note
applies. Receipt Details Direct Debit Batch Company Original Direct Debit Batch The direct debit batch that was used to create the anticipated receipt or
the TNR. Receipt Method The receipt method that was used to create the anticipated
receipt or the TNR. Bank Relation The bank that was used to create the anticipated receipt or
the TNR. Customer's Bank The pay-by business partner’s bank in case of anticipated
receipts and TNRs. Amount The amount in the currency of the linked document. Amount in Local Currency The amount in the local currency of the receipt
company. The currency of the country in which the company is located.
Otherwise, the currency in which you report to the local tax
authorities. In a multicurrency situation, you can use three home
currencies. The three home currencies that you can define for a company are: - The company's local currency
- Reporting Currency 1
- Reporting Currency 2
Receipt Status Step of the receipt document corresponding to the current
document. Specified only for anticipated receipts, normal receipts,
assignments, and TNRs. | |