Hi,Could someone please explain where we enter the Bank Transaction Code & Cash Transaction Date in the Payment Transaction processed through Mixed Payment & Supplier Payment Proposal. Because both the fields are appearing in the Automatic Transaction Matching screen but we are not able to identify the same. In Mixed Payment i can see the Bank Transaction Code at Transaction Details but want to ensure that.
Hi,We are having two Cash transactions in IFS and both with same amount but one is in postive and another one is in negative. I matched those lines in Automatic Transaction Matching screen and matching id also updated against those lines. But Final Matching option is not available, because of this, those transactions are not appearing on the cash account reconciled transactions analysis screen. How to move these transactions to Cash Account Reconciled Transaction Analysis screen. Can someone please help me on this. Thanks in advance.
Hi,We have created a payment proposal from Supplier Payment Proposal screen which contains multiple invoices belongs to various suppliers. When i am creating Payment Order from the said proposal it is creating only one Payment Order. But as per our requirement, we have to create mutiple payment orders based on suppliers. Is there any way to create supplier wise Payment orders from one Payment proposal?Could anyone please help us on this.Thanks in Advance.Regards,Mariappan C
Hi,We are getting an error (in IFS Apps 10) while change the Acquisition value of a Fixed Asset as “Depreciation should be calculated on the said object before changing the Acquisition value”. But as per the requirement we should not calculate the Depreciation. Is there any way to calculate depreciation @ 0%. So that we can run the depreciation proposal and change the Acquisition value.We tried Exclude Depreciation, Hold depreciation functionalities but there was no luck.Could anyone please help us on this.Thanks in Advance.Regards,Mariappan C
Hi,We have created a Supplier Payment proposal (for multiple suppliers) and converted into Payment Order and created the payment voucher as well (In this case only one Payment Order and Payment Id got generated as all invoices are with same currency). After all these, the transaction got upated in the “Automatic Transaction Matching” screen under Cash Transactions section. In this case, Only one line updated under Cash Transactions section based on the Payment Id.But, our Bank statement contains multiple lines based on the supplier wise. Hence we are facing issues while doing the BRS. Everytime we need to navigate to Payment Analysis window (RMB from Cash Transactions section) to view the supplier wise details.Is there any way to Create multiple payment id’s (Supplier wise) against one Payment Order from the supplier payment proposal/Supplier Payment Order screen.So that, In Automatic Transactions Matching screen we can get supplier wise payment details under Cash Transactions section
Hi All,We are having a scenario where the Supplier is having 3 different bank accounts. The same has been added in Supplier Master > Payment Tab > Electronic Payment Addressess. And in that, one account we made as default. Now the Supplier is asking us to pay to the Bank account No 1 for the invoice number 1 and for the second invoice supplier is asking us to pay to the Bank account no 2 and for the third invoice, bank account no 3.How to pick the bank details based on the invoice wise. Is there any way to capture the details related to bank at invoice level or is there any connection available between Invoice & Supplier Bank details. Could anyone please help me. I am facing this in IFS APPS 10.Thanks in Advance.Regards,Mariappan C
Hi,I am testing the Expense sheet process first time. But i stuck in between. Actually i created an Expense Sheet and processed the payment through Employee payment screen. I am ok with the voucher entry for Expense booking but for payment it is hitting the posting type EP2 and not PP1. Also the payment is not available in the sub ledger (Cash Book) as well. Am i missing with any setup?...Can anyone please help me.Thanks in advance.
Hi,Is it possible to process the payment through Supplier Payment Proposal screen for the Advacne requests created through Supplier Payment Schedule.
Hi,I am testing the Expense sheet process first time. But i stuck in between. Actually i created an Expense Sheet and processed the payment through Employee payment screen. I am ok with the voucher entry for Expense booking but for payment it is hitting the posting type EP2 and not PP1. Also the payment is not available in the “Cash Transaction analysis” screen as well. Am i missing with any setup?...Can anyone please help me.Thanks in advance.
Hi,Can anyone please guide me that what is the setup to be done to Match the PO receipts automatically in a Non Posting Proposal Company in Apps 10.
How to Optimize All column Widths in Aurena?
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