This will include the questions related to Financials.
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Hi,I am using the “Copy Unmatched PO Receipts” function to split and allocate the correct Tax per line automatically when entering an invoice (screenshot below). This functionality does not seem to appear for “Pay after Invoice” Sub Contracts however to split the invoice out automatically. This is very frustrating for the end user as there can be many lines on the Sub Contract which will take a long time to enter manually. Especially as the information already exists on the connected Sub Contract reference. Any advice or solutions to this issue would be greatly appreciated.
Hi All, Can somebody share the complete basic data setup for SEPADD payment in IFS ? Best Regards,Vindya.
Hi,We are planning to use standard currency update assistant with cross rate calculations.We receive single currency file with one base currency and the plan is to update all companies with cross rate calculations. And we have around 20 companies in IFS which use different accounting currencies .Does any one use this standard functionality and have you seen any issues in this functionality?ThanksGayan
Hi all, Does anyone know why the ‘Tax_Base_Curr’ and ‘Tax_Base_Dom’ values can turn out to be different (even when the accounting currency and transaction currency are the same) when doing an offset payment with two customer invoices. Has anyone else faced such an issue (in the GET environment – with no specific localization)? Many Thanks!Kind Regards,Rashmi
Hi!We are implementing CAMT via Danske Bank. How can we perform the config so that we can use “transfer accounts”? If the bank G/L account is 1940 we would like to use 1941 for outgoing payments and 1942 for incoming payments. For example all incoming payments should be posted/booked on D-1940, C-1942 and the outgoing payments should be posted/booked on C-1940 and D-1941. No matching/clearing of payment orders or incoming payments should be made with CAMT053.The posting of CAMT053 should be made automatically without manual intervention each morning. Then AP will do the posting of the CAMT054D for the supplier payments and AR will do the posting of CAMT054C for the incoming payments. CAMT054D should be posted C- 1941 and D-clear payment order. CAMT054C should be posted D-1942 and C-clear customer invoices.Is this possible in IFS? I am sorry for the wording but after 20 years in the SAP ERP world I tend to use SAP english….
Is there a quicker way to create monthly voucher series per voucher type rahter than maunally copy and paste each for new year?
Dear All,I'm strubbeling with the setup for CAMT.053.I've defined the following messages codes:When I Receive a bank file with code RDDT the entry is shown as a Direct cash transactionThe source data is Why is this mapped as a Direct cash transaction instate of a Suppliey Payment? Regards Raymond
Can we add a list in dialog of aurena?
Good Dayour user created manual customer invoice number x , the invoice was posted in Nov-2021 and the voucher no is “1062100916”.later user canceled the invoice and created it again in oct-2021, the invoice was posted and the voucher no is “1062100917”system doesn’t display the canceled invoice and display only the last invoice.the correction transaction “K” of voucher no “1062100916” is not available!!! now the customer balance is not right, how i can correct it and find the canceled invoice ?
Hello, I am testing a manual customer payment transaction type in the mixed payment module. I am in company 117 but would like to post vouchers to 118 using this feature. I have no issues when posting a regular manual payment transaction within the same company but get the following error code when posting to a different company. For context the following setup has been applied:Voucher series per voucher type is setup for Voucher “N”.Accounting period is open.User groups per period looks good. Thanks,
Hi is it possible to enter a tax code on line level for an E-invoice XML file supplier side?according to the documentation it is possible to enter a TAG on Header Level. on INvoiceRow i see no field where i can define the tax code. I know its an anusual request. The customer has an Interface when they scan in the invoice they can enter a Tax Code directly. They dont want to use the external supplier invoice tax code definition since it doesnt fit their requirement. They have somethimes the same different tax code for the same supplier same tax percentage same delivery and source country. It depends on service or inventory supply. Best RegardsSophal
Hello , we have experienced strange behaviour of the system. Dates in the last week of the year were changed/forwarded on layouts by one year. When date in the system was 31.12.2020 it was printed as 31.12.2021. WQe have discovered that in used languages Short date format was set to “YYYY-MM-dd” when changed to “yyyy-MM-dd” dates are printed correctly. Can someone please provide explanation ? What is difference between YYYY-MM-dd and yyyy-MM-dd ? Thanks Martin
Dear Team, does anyone know the difference between message ‘No Arrival’ and ‘No Matching’ in the Invoice proposal message status? Thanks for your help
How to find the below attributes in a purchase order? Need to know where it is fetching data from (Like from which fields in the purchase order) BASE_CURRENCY_CODE REP_CURR_CODE REP_CURR_RATE REP_CURR_DISCOUNT_AMOUNT_BASE REP_CURR_NET_LINE_PRICE_BASE
In one of the customer’s environment, Supplier ledger open item report is getting generated with nearly 300000 blank pages. First few pages have content and the last page has the summary. In between them there are pages with only the header and footer. There are no bug available. Any Idea what could be the reason.
Dear all, Does some know if it's possible the create your own or Adjust an exsiting Audit source in IFS10 UPD11 or higher?A Customer of mine wants to merge some standard Audit Source or adjust Audit Sources with extra columnsKind regars
Hello,We have been using the posting proposal since IFS GoLive in our company. Today, I would like to know if it is possible to remove it at this level, and how. Thanks for your answers.
We are working in IFSAPPS10 . In the financial reports , when date in last week of the Year is used , it is converted in the report one Year ahead. This Year any date started by Sunday Dec 26th 2021 is converted to Dec 26th 2022. This was happening last Year as well. Have You ever heard about this issue ?
Hiya,Does anyone have any notes or documentation on how to set up a new VAT rate in IFS? We need to set up the new 12.5% rate and need some notes on how to set this up correctly in both the general and tax ledgers.Many thanks in advancePaula
We have Distribution and Manufacturing Vouchers in Status 2 and we don’t know how to get them in General Ledger.Background job is running, and we started Transfer job and Update GL Vouchers manually after opening period, but they are still in Status 2. Task Aggregate Inventory Transactions per Period for Period 10 and 11 has been done
Hi, As part of the monthly closing we are reconciliating GRNI report agains GL accounts.For all our 9 sites we have every month small or bigger differences in these.Have anyone figured out some easy way to reconcile these, there are so many transactions and therefor it’s difficult to find out where the differences come from. Any suggestion is welcome as this is something we have been struggeling with since start of IFS, fist in IFS 7.5 and now in IFS 10 upd3. Regards,Anna
Apparently there is a requirement to have the name of the customer defined in chinese characters for the jinsui invoices / interface. Anyone know why this is not part of standard, or is it so that the customer name must be written in chinese characters (but this is not ok if it is a global customer used for other entities in IFS from my point of view)
Hi!I’m looking for a way to add/delete lines under Posting Information in the Aurena Invoices to Authorize View in IFS Applications 10 Update 7. There’s an edit button that only allows you to edit the lines, not adding or deleting lines. Posting information lines in Invoices To Authorize view. Posting Information Lines in IEE Instant Authorization.Posting Lines in Manage Supplier Invoice. Our users have the possibility to do this in the IEE Instant Authorization view, but in Aurena this function seems to be limited to Manage Supplier Invoice?NOTE: There’s a lot of data in the Manage Supplier Invoice view that we don’t want the users to edit, so our question is if there is a way to access the same function from the Invoices to Authorize View?
Hi…I have some issues due to cash,Mainly i need what process should I impliment for following transaction Cash advance - 50000Expenses - 55000Remain Balance to pay to Supplier 5000/-So how should I pay remain 5000/- to the supplier throuth the IFS System?
Please help me understand how Write off of the balance is made in the system.For example if we need to write off doc. XYZ, how can we do it. Thank you.
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