Matching
The purchase invoice matching process must be performed manually.
- Click on the Transaction Types tab in the Transactions (tfgld1101m000) session.
 - Select API in the Transaction Type field and press Tab.
 - Click for the API transaction type. The Purchase Invoice Entry (tfacp2600m000) session is displayed.
 - Verify that Invoice Related to Purchase Orders is selected in the Invoice Type field.
 - Select the purchase Order in the Order section and specify the total amount of the document in the Amount field because this amount includes the IPI value.
 - Select . The Match Purchase Order Lines (tfacp2541m000) session is displayed.
 - Select the purchase order line and click . The Invoice Status is updated to Matched and the Amount Unassigned is updated.
 - Specify the taxes amount on the Additional Costs tab to match the remaining unallocated balance.
 - Verify that the Amount Unassigned is updated to 0.00
 - Click to approve the invoice. The Invoice Status is updated to Approved and the matching process is complete.
 - Access the Accounts Payable 360 (tfacp2560m000) session and select the business partner.
 - Click in the Documents section. The Invoice-from Business Partner Open Entries (tfacp2520m000) session is displayed.
 - Review the open entry transaction of the business partner.
 - Verify that the MAUC of the item in the purchase order is updated in the MAUC [BRL] (by Warehouse) field in the Inventory Receipt Transactions (whina1512m000) session.
 - Verify that the transactions for the tax corrections related to tax credit are generated and automatically processed in the Inventory Variances (whina1516m000) session.