Issue the consigned shipment invoice
To issue the consigned shipment invoice:
- Access the Fiscal Documents 360 (lpbra3600m000) session, select your sales order in the third segment of the Source Document field and click Apply Filter.
- Select the billable line of the sales order on the Billable Lines > General and click Actions > Compose Invoice
- Click Yes when the “Invoice will be composed based on the selected Billable Lines. Continue?” message is displayed. The Invoice Line Status is updated to Ready to Submit.
- Select the invoice line on the Outbox Order tab and click ActionsSubmit to External System. The Invoice Line Status is updated to Submitted to External System.
- Verify that the invoice document is generated and the related fiscal reference number is updated in the Fiscal Reference field on the Fiscal Document tab.
- Access the Invoicing (btsli2100m000) session and click Go to Details for your invoice document. The Invoicing (btsli2100m900) session is displayed.
- Verify that the Invoicing Fiscal Document Type is Consigned Shipment in the Document Data section.
- Verify that the invoice is selected in the Invoicing (btsli2100m000) session and click Actions > Process to print the invoice. The Compose/Print/Post Invoices (btsli2200m100) session is displayed.
- Verify that the Print check box is selected in the Options section and click Continue. The Transferred Fiscal Documents Report is generated.
- Click OK when the “1 Fiscal Document(s) Printed and 0 Fiscal Document(s) Posted.” message is displayed.
- Click Close in the Compose/Print/Post Invoices (btsli2200m100) session.
- Verify that the Invoice Status is updated to Printed and the NFe Status is updated to Transmitted in the Invoicing (btsli2100m000) session.
- Verify that the invoice is selected in the Invoicing (btsli2100m000) session and click Actions > Electronic Fiscal Document > Process NFe Return to process the return of electronic invoice. The Process Electronic Invoice Return (btnfe8220m000) session is displayed.
- Review the data and click Process. The Authorized Electronic Fiscal Document report is generated.
- Click Close in the Process Electronic Invoice Return (btnfe8220m000) session.
- Verify that the NFe Status is updated to Processed and the NFe Sending Status is updated to Authorized for the invoice in the Invoicing (btsli2100m000) session.
- Verify that the invoice related data is updated in the Receipt Relationship by Invoicing (btfdc1110m000) session that controls the third-party history data.
- Verify that the invoice is selected in the Invoicing (btsli2100m000) session and click Actions > Process to print the invoice. The Compose/Print/Post Invoices (btsli2200m100) session is displayed.
- Select the Post check box in the Options section and click Continue to post the invoice and integrate the invoice with order.
- Click OK when the “0 Fiscal Document(s) Printed and 1 Fiscal Document(s) Posted.” message is displayed.
- Click Close in the Compose/Print/Post Invoices (btsli2200m100) session. The Invoice Status is updated to Posted.
- Verify that the invoice is selected in the Invoicing (btsli2100m000) session and click Actions > Financial Integration. The Financial Integration (btsli2100m910) session is displayed.
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Verify that the invoice is integrated and the related postings are updated on
the Ledger Postings tab.
Note: As this invoice does not pass through standard billing, the accounting entries must be generated manually using a transaction type of journal vouchers category.
- Click New on the Transaction Types tab in the Transactions (tfgld1101m000) session and select GLD (with a Transaction Category of Journal Vouchers and a Transaction Subcategory of Transaction Currency Journal) in the Transaction Type field.
- Click Go to Details for the GLD transaction type. The Journal Voucher Documents (tfgld0618m000) session is displayed.
- Click New on the Transactions tab to create the transactions manually with the ledger accounts for ICMS and IPI taxes.
- Select the GLD transaction line on the Transaction Types tab and click Finalize.
- Review the journal reports generated for the batch of the journal transactions.