CMG Parameters (tfcmg0100s000)

Use this session to maintain parameters that control the data in Cash Management. This session determines how processing of data from Accounts Payable and Accounts Receivable is carried out.

Field Information

Payments
Effective Date

The date and time when the cash management parameters were last modified.

If this field is empty, you can modify the Cash Management parameters.

Description

The description of the parameter set.

Payment Options
Payments by Company Group

If this check box is selected, the group company will make the payments on behalf of the company.

Example

Company A, B, and C belong to a group company D.

If this check box is cleared, payments can be created, either separately for company A, B, and C, or for company D.

If this check box is selected, payments can be made only by the group company D on behalf of company A, B, and C.

Group companies are defined in the Finance Company Parameters (tfgld0503m000) session.

Note: To select invoices from other companies as well, leave this check box cleared and choose the appropriate setting in the Multi-Company Selection of Invoices for Payment field.
Multi-Company Selection of Invoices for Payment

If this parameter is set to Select Invoices or Both, you can select invoices from other companies in Select Invoices for Payment (tfcmg1220m000) session, provided that for the other company both of the following applies:

  • The Payments by Company Group check box is cleared.
  • The Multi-Company Selection of Invoices for Payment parameter is set to Own Invoices Selectable or Both.

Allowed values

  • Select Invoices: All available companies can be selected by current company (current company cannot be selected by other companies).
  • Own Invoices Selectable: Only own company can be selected by current company (current company cannot be selected by other companies).
  • Both: All available companies can be selected by current company (current company can be selected by other companies)
  • Not Applicable; Current company cannot be selected by other companies.

Example:

Companies 100 200 300 400 500 600
Option Select Invoices Own Invoices Available Both Both Select Invoices Not Applicable
Selected Companies 100 200 200 200 200 600
  200   300 300 300  
  300   400 400 400  
  400       500  
Note: 
  • Default value: Not Applicable
  • This field is only available if Payments by Company Group is cleared.
Select Only Finalized Invoices for Payment

If this check box is selected, only finalized invoices are selected for payment from the Select Invoices for Payment (tfcmg1220m000) session.

Invoices are finalized in the Finalization Process (tfgld1212s000) session.

Note: If you manually process an invoice that is not finalized in the Payment Advice Lines (tfcmg1101m000) session, you receive a warning.
Select Non Approved Invoices for Payment

If this check box is selected, non-approved order related invoices are also selected along with the approved invoices, in the Select Invoices for Payment (tfcmg1220m000) session.

Invoices are approved in the following sessions of the Accounts Payable module:

  • Process Purchase Invoices (tfacp2107m000)
  • Match/Approve Purchase Invoices by Range (tfacp2280m000)
Note: This parameter is only applicable in the Select Invoices for Payment (tfcmg1220m000) session. There are other sessions for example the Payment Advice (tfcmg1609m000) session where invoices can manually be added to a payment run and no check is performed to this parameter. This parameter does not refer to approval for payment. Invoices can only be selected for payment if the Approved for Payment status is Yes or Not Applicable.

Settle Payments with Sales Invoices

If this check box is selected, the Settle Sales Invoices check box is selected by default in the Select Invoices for Payment (tfcmg1220m000) session and sales invoices are included in the specified range of invoices selected for carrying out the payment procedure.

Pay Credit Sales Invoices

If this check box is selected, the Pay Sales Credit Notes check box is selected by default in the Select Invoices for Payment (tfcmg1220m000) session and sales credit notes are included in the specified range of invoices selected for carrying out the payment procedure.

Invoke Payment Process after Selection

If this check box is selected, the Uninterrupted Payment Run field in the Select Invoices for Payment (tfcmg1220m000) session is enabled.

Payment Batch Approval

If this check box is selected, an authorized user must approve the payment batch. You cannot make changes to an approved batch. You can authorize users in the Payment Authorizations (tfcmg1100m000) session.

Payment Settings
Bank Relation for Payments

The default bank relation that you can link to the payment procedure.

Last Payment Batch

payment batch

The last-created payment batch is displayed here, by default. When data is being set up for the first time in a company, the payment batch will be zero.

Default Device for Payments

Select the default output device code on which the payment reports must be printed.

Payment Process Default ID

Select the payment-process default ID code, which appears as a default value in the Select Invoices for Payment (tfcmg1220m000) session and Process Payments (tfcmg1240m000) session. This ID code is used to carry out an uninterrupted payment run.

Withholding Tax
Interim A/C for Withholding Tax

The ledger account for anticipated payments of standing orders for withholding tax and social contributions payable at invoice payment.

For withholding tax and social contributions amounts that are payable at invoice payment, the anticipated payments are posted to this ledger account. The dimensions are derived from the invoice-from business partner of the standing order.

Deducted Bank Charges
Deducted Bank Charge Account

The ledger account for posting the bank charges that are subtracted from the amount paid to a Japanese supplier.

Interim Deducted Bank Charge Account

The interim account for posting the bank charges that are subtracted from the amount paid to a Japanese supplier.

Interim Deducted Bank Charge Tax Account

The interim account for posting the tax amount that is subtracted from the amount paid to a Japanese supplier.

Direct Debits
Direct Debit Options
Direct Debits by Company Group

If this check box is selected, the group company will collect the customer receipts on behalf of the company.

Example

Company A, B and C belong to a group company D.

If this check box is cleared, customer receipts can be created either separately for each company or for all the companies in a group.

If this check box is selected, only the group company can collect the customer receipts on behalf of company A, B, and C.

Group companies are defined in Finance Company Parameters (tfgld0503m000) session.

Note: To select invoices from other companies as well, leave this check box cleared and choose the appropriate setting in the Multi-Company Selection of Invoices for Direct Debits field.
Multi-Company Selection of Invoices for Direct Debits

If this parameter is set to Select Invoices or Both, you can select invoices from other companies in Select Invoices for Direct Debit (tfcmg4220m000) session, provided that for the other company both of the following applies:

  • The Payments by Company Group check box is cleared.
  • The Multi-Company Selection of Invoices for Direct Debits parameter is set to Own Invoices Selectable or Both.

Allowed values

  • Select Invoices: All available companies can be selected by current company (current company cannot be selected by other companies).
  • Own Invoices Selectable: Only own company can be selected by current company (current company cannot be selected by other companies).
  • Both: All available companies can be selected by current company (current company can be selected by other companies)
  • Not Applicable; Current company cannot be selected by other companies.

Example:

Companies 100 200 300 400 500 600
Option Select Invoices Own Invoices Available Both Both Select Invoices Not Applicable
Selected Companies 100 200 200 200 200 600
  200   300 300 300  
  300   400 400 400  
  400       500  
Note: 
  • Default value: Not Applicable
  • This field is only available if Direct Debits by Company Group is cleared.
Select Only Finalized Invoices for Direct Debits

If this check box is selected, only finalized invoices are selected in the Select Invoices for Direct Debit (tfcmg4220m000) session.

Invoices are finalized in the Finalization Process (tfgld1212s000) session.

Note: If you manually process an invoice that is not finalized in the Direct Debit Advice (tfcmg4609m000) session, you receive a warning.
Settle Direct Debits with Purchase Invoices

If this check box is selected, the Settle Purchase Invoices option is selected by default in the Select Invoices for Direct Debit (tfcmg4220m000) session and they are included in the specified range of invoices selected for the direct-debit procedure.

Select Non Approved Invoices for Direct Debits

If this check box is selected, not only the approved, but also the non-approved invoices are selected in the Select Invoices for Direct Debit (tfcmg4220m000) session.

Debit Purchase Credit Invoices

If this check box is selected, outstanding purchase credit notes are selected during the generation of a direct debit advice in Select Invoices for Direct Debit (tfcmg4220m000) session, and you can enter a range of purchase credit notes.

Invoke Direct Debits Process after Selection

If this check box is selected, the receipt process automatically after you have selected invoices in the Select Invoices for Direct Debit (tfcmg4220m000) session.

Direct debits can be processed automatically, without user interaction, in the same way as payments are processed automatically. The transactions that cannot be processed correctly are moved to a separate batch. After the direct debit run has finished, you can solve the problems and then process this batch.

Direct Debit Batch Approval

If this check box is selected, an authorized user must approve the direct debit batch. You cannot make changes to an approved batch. You can authorize users in the Payment Authorizations (tfcmg1100m000) session.

Direct Debit Settings
Bank Relation for Direct Debits

The bank relation you must link to the direct debit procedure.

Last Direct Debit Batch

The last created direct debit batch is displayed here.

For a company in which you are setting up data for the first time, the value in this field will be zero.

Default Device for Receipts

The output device to which the receipts file must be sent by default.

Direct Debit Process Default ID

The set of default values for the output devices, the transaction dates, the financial periods, and so on, to be used for direct debit processes.

If you leave this field empty, the Uninterrupted direct debit run check box and the Direct Debit Process Default ID field in the Select Invoices for Direct Debit (tfcmg4220m000) session are not available.

The direct debit process default ID is the default value of the new Direct Debit Process Default ID field in these sessions:

  • Assign Banks to Direct Debits (tfcmg4250m000)
  • Audit Direct Debit Batch (tfcmg4255m000)

Direct Debit Mandate Number Group

The number group to be used for direct debit mandates.

Mandate Series

The series to be used for direct debit mandates.

Cash Details
Advance Payments/Receipts
Calculate Tax on Advance Payments/Receipts

If this check box is selected, tax amounts charged on advance payments and advance receipts are calculated.

If you select this check box, you can specify the ledger accounts for the tax amounts in the Purchase Tax on Assignment of Advance Payments Sales Tax on Assignment of Advance Receipts fields in one of these sessions:

  • Posting Data for Tax Codes (tfgld0171s000)
  • Posting Data for Multiple Tax Codes (tfgld0170s000)

The advance payment or receipt amount must exceed or match the amount specified in the Minimum Amount for Tax Calculation field.

Allow Advance Payment Category

If this check box is selected, LN determines the ledger account from the financial business partner group based on the advance payment category.

Businesses in Germany are legally required to make a distinction between advance payments made for these categories.

If this check box is selected, you can select an advance payment category in the Payment Advice Lines (tfcmg1101m000) session.

Minimum Amount for Tax Calculation

The minimum amount for which LN calculates and posts tax amounts on advance payments and advance receipts.

Local Currency

The local currency in which the amount for tax calculation is expressed.

Withholding Tax
Withholding Tax on Advance Payments

If this check box is selected, the withholding tax is levied on advance payments. The field is available only if you select the Calculate Tax on Advance Payments/Receipts check box.

Note: 

You must define ledger accounts for withholding tax amounts in the Purchase Tax on Advance Payments and Purchase Tax on Assignment of Advance Payments fields for these sessions:

  • Posting Data for Multiple Tax Codes (tfgld0170s000)
  • Posting Data for Tax Codes (tfgld0171s000)
Reverse Document during Assignment

The document to post the contra entry for the withholding tax amount.

The withholding tax amount is posted twice during assignment of the advance and on the invoice. One of the tax amounts in the below documents must be reversed, to provide the correct tax amount. Select the document on which the contra entry must be posted.

  • Latest document: The latest document.
  • Advance: The document used for the advance withholding tax amounts.
  • Earliest document: The earliest document.
  • Invoice: The invoice used to assign the withholding tax amounts.
Post Withholding Tax to Actual Account for Anticipated Advance

If this check box is selected, and the Withholding Tax for Israel check box is not selected in the Implemented Software Components (tccom0500m000) session:

  • In the Post Payments (tfcmg1257m000) session, the withholding tax amount is posted to the actual ledger account defined in the Posting Data for Single Tax Codes (tfgld0571m000) session instead of Deductions Anticipated Payments ledger account defined in the Accounts by Financial BP Group (tfacp0110m100) session.
  • When the anticipated advance payment created is reconciled and in the Reconciliation of Payments (tfcmg2103s000) session the Payment Document Status is set to:
    • Complete: No posting takes place for the withholding tax amount.
    • Rejected: The withholding tax previously posted to the actual ledger account defined in Posting Data for Single Tax Codes (tfgld0571m000) is contra-posted.
Statistics/Cash Forecast
Home Currency for Cash Forecast

Select the home currency code for cash forecast.

Note: When you change the home currency for cash forecast, all the earlier records in Cash Forecast are deleted.
Use Euro Instead of EMU Currencies

If this check box is selected, LN converts amounts in EMU currencies to euro before updating the cash forecast. Consequently, your cash forecast does not show any EMU currencies.

Electronic Bank Statements
Transaction Date in Case of Telebanking

Select the date that you want to use as the document date in the matching results of the electronic bank statements (EBS) process.

Allowed values

Value Date

The Value Date (UTC) of the bank statement line.

Booking Date

The date when the transaction is booked.

Statement Date

The date on the bank statement.

Number Group

The number group to be used for electronic bank statements.

Note: 
  • You can manually specify a key in the Number Group and Series, for Remittance advices only when processed to LN using the BODs.
  • The series is also used to generate a remittance advice number.
Transaction Series

The series to be used for electronic bank statements.

Note: 
  • You can manually specify a key in the Number Group and Series, for Remittance advices only when processed to LN using the BODs.
  • The series is also used to generate a remittance advice number.
Ignore Unknown Currencies
If this check box is selected, LN does not check that the currency specified with the original amount in the EBS file exists in the currency table. If this check box is cleared, and the currency is not present in the currency table, an error message is displayed and the conversion is stopped.
Cash Application Options
Allow Overpayment

To enable overpayment for a remittance advice during the cash application process, select this check box. Consequently, an invoice can have a negative balance.

Note: Required for evaluated receipt settlement (ERS).
Allow No Action for Overpayment

If you select this check box, Default Action for Overpayment is set to No Action.

Default Action for Overpayment

Select one of the options to define the way you want to handle the overpayment amount.

Allowed values

  • Advance
  • Unallocated
Allow Underpayment

To enable underpayment for a remittance advice during the cash application process, select this check box.

Note: Required for evaluated receipt settlement (ERS).
Allow Debit Note for Underpayment

Select this check box to create debit notes for underpayments.

Default Action for Underpayment

Select one of the options to define the way you want to handle the underpayment amount.

Allowed values

  • No Action
  • Credit Note
  • Debit Note (only available if Allow Debit Note for Underpayment is selected)
  • Notification of Underpayment
Allow No Invoice Found

Select this check box to indicate a default action if, based on the shipment reference communicated in the remittance advice, no corresponding Accounts Receivable invoice can be found.

Note: Required for evaluated receipt settlement (ERS).
Default Action No Invoice Found

Select one of the options to define the way you want to handle this situation.

Allowed values

  • Advance
  • Unallocated
Default Remittance Advice Reason

The default reason code to be used for applying invoices with the remittance advice and proceeding without interruptions in case of:

  • Overapplied remittance advice lines
  • Underapplied remittance advice lines
  • Remittance advice lines for which no corresponding Accounts Receivable invoices can be retrieved based on the shipment reference communicated in the remittance advice.
Note: Required for evaluated receipt settlement (ERS).
Remittance Advice
Number Group

The number group to be used for remittance advice.

Note: Required for evaluated receipt settlement (ERS).
Series

The series to be used for remittance advice.

Note: Required for evaluated receipt settlement (ERS).
Miscellaneous
Deductions
LPS/Discount for Partial Payments

Select one of the options for calculating the discount, late payment surcharge, and payment difference for partial payments/receipts.

None

No discount amount or commission amount is deducted from partial payments.

Fully

The full discount amount or commission amount is deducted from the first partial payment.

Proportionally

A proportional discount amount or commission amount is deducted from each partial payment.

Adjust Tax for Deductions

If this check box is selected, LN can adjust the tax amounts registered for a sales invoice.

If the payment amount differs from the invoice amount LN can recalculate the tax amount at the receipt/payment of an invoice. The difference can be due to a discount, the deduction of late payment surcharges, or payment differences. The new tax amounts are based on the payment amount.

Ledger Account for Deductions by

The way in which you want to specify the ledger accounts for the posting of tax deductions.

If you select the Adjust Tax for Deductions check box, you can select one of the following values:

  • Tax code

    You can specify the ledger accounts for the current financial company, in the Posting Data by Tax Code for Deductions (tfcmg0150m000) session.
  • Financial BP Group

    You can specify the ledger accounts for the financial business partner group, in the Accounts by Financial BP Group (tfacr0110m100) session.

Tolerances for Payment Difference Defaults
Percentage of Invoice lower than expected

The maximum allowed negative payment difference, expressed as a percentage of the invoice amount.

Specify the maximum negative payment difference percentage that is tolerated by LN. This percentage must always be considered together with the amount entered in the Invoice Amount Lower than Expected field. If the amounts do not meet the criteria, LN will not give a default value for the maximum negative payment difference.

For users for whom you do not define a specific tolerance in the Payment Authorizations (tfcmg1100m000) session, LN uses this tolerance amount.

Percentage of Invoice higher than expected

The maximum allowed positive payment difference, expressed as a percentage of the invoice amount.

Specify the maximum positive payment difference percentage that is tolerated by LN. This percentage must always be considered together with the amount entered in the Invoice Amount Higher than Expected field. If the amounts do not meet the criteria, LN will not give a default value for the maximum positive payment difference.

For users for whom you do not define a specific tolerance in the Payment Authorizations (tfcmg1100m000) session, LN uses this tolerance amount.

Invoice Amount Lower than expected

The reference currency.

Invoice Amount Lower than Expected

The maximum allowed negative payment difference amount.

Specify the maximum negative payment difference that is tolerated by LN. This amount must always be considered together with the percentage defined in the Percentage of Invoice lower than expected field. If the amounts do not meet the criteria, LN will not give a default value for the maximum negative payment difference.

For users for whom you do not define a specific tolerance in the Payment Authorizations (tfcmg1100m000) session, LN uses this tolerance amount.

Invoice Amount Higher than Expected

The maximum allowed positive payment difference amount.

Specify the maximum positive payment difference that is tolerated by LN. This amount must always be considered together with the percentage defined in the Percentage of Invoice higher than expected field. If the amounts do not meet the criteria, LN will not give a default value for the maximum positive payment difference.

For users for whom you do not define a specific tolerance in the Payment Authorizations (tfcmg1100m000) session, LN uses this tolerance amount.

Bank File Settings
Use Transaction Sequence Number

If this check box is selected, transaction sequence numbers are used in the bank files. Transaction sequence numbers are required by some Norwegian and Swedish banks.

If you select this check box, you can link a set of transaction sequence numbers to a bank in the Bank Branches (tfcmg0511m000) session. You define the transaction sequence number codes in the Transaction Sequence Number Code (tfcmg0513m000) session.

Reason for Foreign Payment

If this check box is selected, reasons for payments in foreign currencies are included in the bank files.

Receipt Acknowledgement
Number Group

The number group used to generate serial numbers for receipt acknowledgements.

In a multicompany structure, you can only specify a number group in the group company.

Transaction Series

The default series used to generate serial numbers for receipt acknowledgements.

Each company of a financial company group must use a unique series.

Receipt Acknowledgement - Advanced/Unallocated Receipts
Different series for Advances/Unallocated Receipts

If this check box is selected, a different number group and series can be defined for advance or unallocated receipt acknowledgement.

Number Group Advances/Unallocated Receipts

The number group used to generate serial numbers for advance or unallocated receipt acknowledgement.

Note: This field is enabled only if the Different series for Advances/Unallocated Receipts check box is selected.
Series Advances/Unallocated Receipts

The series used to generate serial numbers for advance or unallocated receipt acknowledgement.

Note: This field is enabled only if the Different series for Advances/Unallocated Receipts check box is selected.
Receipt Acknowledgement - Vat on Cash Basis
Number Group

The number group used to generate serial numbers for receipt acknowledgements.

In a multicompany structure, you can only specify a number group in the group company.

Note: 

This separate number group is required for tax payers in Portugal who opt for VAT on cash basis.

For this scheme, receipt acknowledgements must be:

  • Printed and given to the customer.
  • Specified in the SAF-T file reporting.

Transaction Series

The default series used to generate serial numbers for receipt acknowledgements.

Each company of a financial company group must use a unique series.

Note: 

This separate series is required for tax payers in Portugal who opt for VAT on cash basis.

For this scheme, receipt acknowledgements must be:

  • Printed and given to the customer.
  • Specified in the SAF-T file reporting.

Block Discount Exceeding Tolerance

If this check box is selected, you cannot specify or accept a discount that exceeds the discount percentages defined in the Payment Terms (tcmcs0113s000) session.

If this check box is cleared, a warning is displayed if you specify payment discounts higher than the discount percentages defined in the Payment Terms (tcmcs0113s000) session.

Payment/Receipt Method for Checks

Enter the payment/receipt method for checks.

In the Select Invoices for Trade Notes (tfcmg4230m000) session, all invoices with this payment method are selected for direct debit procedure and for composing the checks.

Shipment
Receipts Against Shipments

If this check box is selected, for each shipment line, LN generates the following:

  • A separate sales invoice, recording the shipment, order, and item information in Accounts Receivable .
  • A receipt schedule with shipment information.

Select this check box to:

  • Assign advance receipts to invoices based on the shipment details.
  • Enable evaluated settlement receipt (ERS).

If you clear the Receipts Against Shipments check box, LN creates invoices for sales orders according to the composing criteria you select in Invoicing . Credit notes can have a single payment schedule line.

Performance aspects

The setting of this field could affect system performance and database growth. For more information, refer to Unused concepts in Invoicing.

Factoring
Commission
Ledger Account

The default account to which factoring commissions must be posted.

This must be a Profit & Loss account. In addition, you can specify the dimensions for the factoring commission as applicable.

Dimensions

The dimensions to which factoring commissions must be posted.

Contingent Liability
Ledger Account

If the invoice is factored and factoring is with recourse, the factored amount must be posted to this account.

This must be a Balance Sheet account. In addition, you can specify the dimensions for the contingent liability account as applicable.

Dimensions

The dimensions to which the factored amount must be posted.

General
Commission on Partial Payments

The way in which you want to calculate and post the factoring commission on partial payments.

None

No discount amount or commission amount is deducted from partial payments.

Fully

The full discount amount or commission amount is deducted from the first partial payment.

Proportionally

A proportional discount amount or commission amount is deducted from each partial payment.

Create debit notes while repaying

To create debit notes, select this check box. To reopen the unpaid invoices, clear this check box.

If this check box is selected, LN generates a debit note when you block the factor's invoice.

If this check box is cleared, the original invoice is reopened when you block the factor's invoice. By default, the check box is cleared.

Transaction Types
Re-open/Unfactor Invoices

The transaction type for a reopened invoice.

The transaction category must be Sales Corrections.

Settle/Unfactor Recourse Invoices

The transaction type for the settlement transactions of factored invoices with recourse.

If you settle a factored invoice with recourse, LN reverses the entries to the Contingent Liability account and the Invoice Factored account. The transaction category must be Journal Vouchers.

Trade Notes
Trade Notes

If this check box is selected, the trade note functionality is available in Financials .

Performance aspects

The setting of this field could affect system performance and database growth. For more information, refer to Unused concepts in Cash Management.

Minimum Trade Note Amount

The minimum amount for which you want to create trade note documents.

Currency for Trade Notes Generation

The home currency in which you specify the minimum trade note amount.

LN also uses this currency in the following sessions:

  • Trade Note Division by Pay-by BP (tfcmg0517m000).
  • Trade Note Division by Pay-to BP (tfcmg0518m000).
  • Division for Revenue Stamp Tax (tcmcs1132m000)

TNP Number Group

The number group used to generate document numbers for trade notes payable when LN generates trade notes and when you enter trade notes manually.

TNR Number Group

The number group used to generate document numbers for trade notes receivable when LN generates trade notes and when you enter trade notes manually.

Accounting Office for Trade Notes

If this check box is selected, LN registers the department of each trade note step.

If you select this check box, you can generate reports of the trade note balances by business partner and department.

Reporting
DAS 2
Minimum amount for DAS 2 Reporting

The minimum amount to be used for DAS 2 reporting.

SIREN Code

Your own company's SIREN code.

Establishment Code

Your own company's location identification code.

Z4
Z4 Reporting Applicable

To enable Z4 reporting, select the appropriate option.

Allowed values

  • Payments
  • Receipts
  • Payments and Receipts
Note: For more information, refer to Bundesbank - Reporting system.

Minimum Amount for Z4 Reporting

The minimum amount to be used for Z4 reporting.

Petty Cash
Petty Cash
If this check box is selected, the petty cash functionality is implemented in LN.
Transaction Modification
If this check box is selected, Infor LN allows you to modify the petty cash transactions after the final cash report is printed.
Note: This field is enabled only if the Petty Cash check box is selected.
Continuous Numbering on line level
If this check box is selected, Infor LN does not allow you to delete the petty cash transaction lines prior to the last transaction line in the cash document.
Note: This field is enabled only if the Petty Cash check box is selected.
Issue Transaction Valuation Method

Indicates the method of determining the currency rate for cash issue transaction.

Allowed values

Document Date
The currency rate is based on the document date similar to the method used in the Bank Transactions (tfcmg2500m000) session.
FIFO
The currency rate is based on the FIFO algorithm.
Average
The currency rate is based on the average value algorithm.
Note: This field is enabled only if the Petty Cash check box is selected.
Manual Document Date
If this check box is selected, Infor LN allows you to modify change the document date in the petty cash transaction line.
Note: 

The document date in the petty cash transaction line is defaulted from the cash document header.

This field is enabled only if the Petty Cash check box is selected.

Cash Counting Number Group
The default number group that determines the series to be used for the cash counting orders.
Note: This field is enabled only if the Petty Cash check box is selected.
Cash Counting Series
The code of the default series that must be used to generate the cash counting orders.
Note: This field is enabled only if:
  • The Petty Cash check box is selected.
  • A number group is defined for the cash counting orders in the Cash Counting Number Group field.
Cash Counting Transaction
The cash transaction code that is used to generate cash counting result transaction.
Note: This field is enabled only if the Petty Cash check box is selected.
Cash Sales Invoice Transaction
The cash transaction code that is used to generate a cash receipt transaction when an invoice with a petty cash payment method and a zero days payment term is printed by a user defined as a cashier with a default cash register in the same currency as the invoice.
Note: This field is enabled only if the Petty Cash check box is selected.