This will include the questions related to Financials.
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Hi All..We want to create a report for PPV on inventory received and invoice paid .We already did set up on -the post price difference at Arrival. Do we need to do any other setup and where we can see these difference.Could anyone help in creating these reports.Thank you.
Hi,I have an issue. The voucher date when creating new one doesnt match the user location date. I guess it is our global server date, any idea on how to fix it?
Anyone has experiene with using the ISO20022 bank format within India?Im working on a example for our bank (payment form KOTAK Bank to Citi bank) .Trying to fill the neccesary fields , im searching for a way to fill the local code (like CITI0000XXXX) and were to fill te codes NEFT, IFT and RTGS.Any one has an suggestion?
Hi, I am trying a external voucher upload and i receive below error when i try to upload ORA-20110: ExtCheck.VOU_NOT_BAL: Voucher 12/02/2025 is not balanced in accounting currency My template and file as below Highly appreciate your response.Thank you.
Hi, I am trying to upload an external supplier invoice with two or more tax lines but I am not able to do it. Can someone help me with advices or settings to how it maybe will be fixed? In advance thanks! Here is information about the case: I have this Supplier with one tax code: This is my External supplier invoice parameters I have added two difference tax value in the invoice I am trying to upload And this is my error in External supplier invoices And when I look at tax lines, where is only one line and it is here I want/hoped there would be two lines.
Hi All, Is anyone familiar with the requirements in the subject field in relation to German companies? I am wondering how to make our Apps 9 compliant with these requirements. Third party software is being pushed as a solution but we’d like to avoid this if possible and even customize IFS where possible to build a solution. I know that some of the above requirements are process related but don’t have a clear understanding of the technical requirements.Best RegardsJohn
Hello,Has someone made a presentation on the major updates in finance when the system is upgraded from the IFS 10 to IFS Cloud?And would like to share that with me.The topic is wrong, sorry for that.Thank you in advance.BR,Oskari
If we setup account in pre posing for inventory part in PO line, should it override M10 posting control at receipt?
I would like to apply a portion of an amount of advance invoice on customer invoice.So I did a customer offset on advance invoice and CUPOA and i have the following error message “advance invoices are not allowed”.
When you create an advance invoice for a customer order, the advance payment is automatically offset with the final invoice is created. However, if the advance invoice has not been paid at the moment the final invoice is created, the advance invoice is not offset and the final invoice will invoice the full amount. You then need to create a credit invoice for the advance invoice and offset it with the advance invoice. Is there a way to offset the advance invoice with the final invoice, even if it has not been paid yet? Both the advance invoice (e.g. 30%) and the final invoice (70%) should be open. I know that stage billing can be used as an alternative, but the downside of that is that it posts revenue when a stage billing is created. But no costs are created. Therefore, we don't want to use stage billing.
HI,We have several customers which are in purchasing organisations.Until 2025 the invoice was sent to the purchasing organisation via EDI.And the very same invoice was printed and sent to the customer by mail. We wondered whether it is possible to send the invoice via EDI to the purchasing organisation and additionally via einvoice to the customer? Is there a way to use both message classes at the same time? BR,Alex
Hey guys,We have a request from a US customer who wants to use electronic payment for Trust of America bank.When contacting the bank, they said they do not have a specific document or layout. Has anyone created layouts for US banks? Is there a document that structures the file to be generated?
Hello IFS friends -I have an issue with supplier invoice due dates. The invoice is loaded from an external source (Pagero). The invoice itself does not have a due date on it so Pagero is loading the due date the same as the invoice date. However, the supplier record has payment terms of 40 days. The recalculate due date is checked on the message default tab of the supplier record. It is my understanding that by checking the recalculate box, the payment terms on the supplier record would be used to establish the due date. The recalculation is not working for many suppliers but it is also working on other suppliers. I have not been able to find a commonality for the invoices with the wrong due date. Any ideas? We are using IFS10 U23. External supplier invoice screenThanks!
Is it possible to use small letters number in supplier invoice numbers ?All entered letters are automatically converted to big. Is it an option ?
Hi All,One of our customer’s completed the Year End Process and complained us about 0-13 Periods balances are now zero in GL Balance Analysis, and they are not able to extract the Full Year TB from the IFS Application. In our investigations we found that in Period 13 contains following categories posting transactions only, Automatically created Clear Revenue /Cost Balances related Voucher entry which include GP8 (Retained Earnings) posting. Here they use a different Voucher Type YEM Audit Adjustment manually created Voucher entries- They use a separately created Voucher type for this, AE Automatically created Final YE Voucher entry - They use a separately created Voucher type for this, YE Issue:From the Clear Revenue /Cost Balances related Voucher entry all Cost and Revenue accounts balances transferred to Retained earnings , so Cost and Revenue accounts balances not available in the GL Balance Analysis for Period 13 Automatically created Final YE Voucher entry transferred all balanc
We have a question from the users that when they run this report it doesn't show all the customers with all invoices/payments of account. Any idea which would not show the required data?
My client wanna distribute the cost incurred by marketing team according to proportion of revenue account based on the product group, I have no issue to configure the steps in PCA for this. However I have problem to setting the steps for cost incurred by cost centre Finance (ie salary, travelling expenditure) which they wanna distribute it equally to 5 product groups in the same GL account. How can it be done through PCA?
I have just been told we are changing Bank to NatWest and will need a new facility to upload our BACs files. I’m assuming there is no direct upload from IFS that can be set up, so we will need to source a intermediary software that sits between IFS and NatWest. Do any companies out there use this type of software with IFS and recommend any companies to look at?Thanks Trudy
I am told that you must have an amount in the “Allowed Overdue Amount” if you want to use the “Allowed Overdue Days” is this true? We prefer to use the Allowed Overdue Days only, are there any prerequisites for this?
Hello - We have a process where some of our suppliers are paid via credit card, which we want to process the true invoice through the system, but then will receive an invoice from the credit card company which will reduce cash. We want the payment of the supplier invoice to hit a liability account, not the cash account, but we do not know how to set it up to work that way. We have a different payment method for this type of transaction, but how do we get it to DR AP, CR Liability account at PAYMENT of these invoices.
Hi All, We can create a BACS file (BACS.DAT) from ‘Supplier Payment Proposals’ screen.My question is, how to configure the application where BACS.DAT file is copied to a ftp location.Is there any specific screen in IFS where we can configure this?
hi,somebody can help me ?when i make an instant invoice regarding an intercompany flow, i have this error message : there is no tax liability defined for supplier FR0T. i don’t know where i can set up this “tax liability”.thank you.
A supplier invoice was matched in mixed payments with a remaining balance. There is a debit and a credit balance showing in supplier offset but when I try to clear the remaining balance there I get the following message: ‘Invoice cannot be cleared in supplier offset because it is used in a Manual Supplier payment/supplier offset/Netting Preliminary payment. Is there another way to clear this?
Hello! My finance department uses Customer Offsets in IFS10 to view completed customer offsets. We have found this screen to be missing in IFS Cloud. Has anyone found where you can see completed offsets?
Hello,what is this button for?We have a request from a customer who would like to post invoices for non-stocked orders without the orders being received.We think this button could meet our needs, but we need your help Thank you in advance.
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