Ebs r12 学习笔记 (供应商部分)

  • Upload
    soiree

  • View
    144

  • Download
    0

Embed Size (px)

DESCRIPTION

EBS R12 学习笔记 (供应商部分).pdf

Citation preview

  • Created by sword_111 1

    QQ: 71952431

    http://blog.163.com/sword_111

    AP

    Oracle

    1

    2/

    3

    4

    5

  • Created by sword_111 2

    QQ: 71952431

    http://blog.163.com/sword_111

  • Created by sword_111 3

    QQ: 71952431

    http://blog.163.com/sword_111

    -

    {If you do not allow withholding tax for a supplier, you cannot allow withholding tax

    for any of the supplier's sites. If you disable withholding tax at the supplier site, you

    will not be able to allow withholding taxes for any invoices entered for this supplier

    site.}

    Supplier Address Book & Contact Directory

    For every supplier, you can create an unlimited number of supplier sites with different

    addresses and contacts. You can buy from several different sites while sending the

    payments to only one site.

    -

  • Created by sword_111 4

    QQ: 71952431

    http://blog.163.com/sword_111

    The system predelivers a set of business classifications. You cannot delete or update the

    Minority Owned, Woman Owned, and Small Business business classifications, but you

    can add, remove, or update other values, as needed.

    Define the list of business classifications (POS_BUSINESS_CLASSIFICATIONS)

    through the Lookups window

    EBS

    Woman Owned business, Small Business

    Looup POS_BUSINESS_CLASSIFICATIONS

    For each supplier and supplier site that has bank account assignments, you must

    designate a primary bank account. The primary bank account is used by Payables as a

    default when you pay this supplier electronically. You may override the default if

    necessary.

    EBS AP

    Liability

    The Liability Account and description for a supplier sites invoices.

    If you use the Multiple Organization Support feature, you can enter a value in this field

    only at the supplier site level.

    -

    Distribution Set

    The default Distribution Set for all invoices entered for the supplier site. Distribution

    Sets are used to expedite entry of distribution lines on invoices.

    Full distribution sets will automatically create distribution lines with both account

    numbers and currency amounts.

    Skeleton distribution sets will automatically create distribution lines with only

    account numbers and you must provide the currency amounts.

  • Created by sword_111 5

    QQ: 71952431

    http://blog.163.com/sword_111

    (

    )

    Allow Tax Applicability

    Enable this option, if you want to automatically calculate taxes for this supplier or

    supplier site.

    Allow Tax Applicability :

    Set for Self Assessment/Reverse Charge

    A self-assessed tax is a tax calculated and remitted for a transaction, where tax was not

    levied by the supplier but is deemed as due (and therefore needs to be paid by the

    purchaser). In such cases the purchaser is responsible for calculating and remitting the

    tax. Self-assessment is also known as reverse charge or use tax in certain tax regimes.

    /

    Allow Offset Taxes

    Enable this option if you want to allow calculation of offset taxes with this supplier or

    supplier site.

    Income Tax Reporting Site

    You can choose only one supplier site as the income tax reporting site for a supplier.

    Payables requires a tax reporting site for each 1099 supplier for income tax reporting

    purposes.

    1099

  • Created by sword_111 6

    QQ: 71952431

    http://blog.163.com/sword_111

    20091019

    Ship Via

    Ship Via allows you to indicate a preferred carrier that youd like the supplier to use

    when shipping to you.

    Define default Ship Via codes. Purchasing provides no Reply/Receive Via codes, but

    you can define your own. (N) Setup > Payables > Lookup Codes

    Pay On Receipt

    The Pay on Receipt functionality allows you to create invoices based on receipts and

    purchase order information in the system. This functionality is generally used with

    suppliers who send ASNs (Advance Shipment Notices) and ASBNs (Advance Shipping

    and Billing Notices).

    ASNs (Advance Shipment Notices) and ASBNs (Advance Shipping

    and Billing Notices).

    Alternate Pay Site

    Pay site to be used as the supplier site when the system creates self-billing invoices for

    this supplier. This list of values is limited to active pay sites for the supplier.

    Alternate Pay site

    Invoice Summary Level

    The level at which you want to consolidate invoices for this supplier site when you

    submit the Pay on Receipt AutoInvoice Program.

    Invoice Summary level

    FOB

    Free on Board (FOB) indicates the point at which ownership of the goods and services,

    as well as the cost of any damage or loss, transfers from the supplier to you.

    FOB

    Purchasing provides no FOB codes, but you can define your own. This code is printed

    on your purchase orders.(N) Setup > Payables > Lookup Codes

  • Created by sword_111 7

    QQ: 71952431

    http://blog.163.com/sword_111

    Freight Terms

    Create Debit Memo from RTS Transaction Return to supplier

    If you enable the Create Debit Memo from RTS (Return to Supplier) Transaction

    option, you will have the option of allowing Workflow to automatically create a debit

    memo when processing a return to supplier.

    Country of Origin

    Country in which the product was manufactured.

    Supplier - Receiving

    Ship-To Location

    Receipt Routing

    * Direct Delivery. 1 step to the final destination

    * Standard Receipt. 2 steps: 1st to receiving, then to the final destination

    * Inspection Required. 3 steps: 1st to receiving, next to inspection, then to the

    final destination

    1

    2

    3 --

    Match Approval Level

    The Match Approval Level indicates what information will be compared to determine

    whether an invoice can be validated or not. Options are:

    * 2-Way. Purchase order and invoice quantities must match within tolerance before

    the corresponding invoice can be paid. The receipt close tolerance should be set

    to 0% to allow the system to automatically close fully received lines.

    * 3-Way. Purchase order, receipt, and invoice quantities must match within

    tolerance before the corresponding invoice can be paid.

    * 4-Way. Purchase order, receipt, accepted, and invoice quantities must match

    within tolerance before the corresponding invoice can be paid.

  • Created by sword_111 8

    QQ: 71952431

    http://blog.163.com/sword_111

    2-way

    0

    3-way

    4-way

    Allow Substitute Receipts

    Supplier Information- Payment Details

    Pay Each Document Alone

    If the Pay Each Document Alone option is enabled, a separate payment is created for

    each invoice. If it is not enabled, a single payment is made for multiple invoices.

    Supplier Invoice Management

    Invoice Amount Limit

    If you enter an invoice for a supplier site that exceeds a pre-specified invoice amount

    limit, Payables will automatically place the invoice on an Amount Hold during the

    Invoice Validation process.

    Invoice Match Option

    The Invoice Match Option determines whether or not you intend to match invoices for

    this supplier against purchase orders or receipts.

    Hold All Payments

    Select the Hold All Payments option to prevent any invoices entered for the supplier

    site from being selected for payment processing.

    Hold Unvalidated Invoices

    If the Hold Unvalidated Invoices option is selected, Payables will automatically apply a

    Supplier hold to all invoices as they are entered.

    Terms Date Basis

  • Created by sword_111 9

    QQ: 71952431

    http://blog.163.com/sword_111

    The Terms Date Basis is the date you select for Payables to use as the basis for

    calculating the scheduled payment. Below are the options available listed in order from

    the earliest date selection to the most recent date selection.

    * Goods Received

    * Invoice (Date)

    * Invoice Received

    * System (Date)

    Pay Date Basis

    The Pay Date Basis determines if the system will create a payment at the end of the

    discount period or by the due date.

    Create Interest Invoice

    Multiple Organization Support feature suppliers Account

  • Created by sword_111 10

    QQ: 71952431

    http://blog.163.com/sword_111

    Merging suppliers is an irreversible action. You cannot reverse the merge once it has

    completed. Before you initiate the merge program, you should be sure that the action you

    want to take is final.

    Accounts Payable Trial Balance Report

    Use this report to verify that total accounts payable liabilities in Payables equal those in

    the subledger. You can use this report to review all negative supplier balances.

    Invoice Aging Report

    Use this report to view your unpaid invoices. This report provides information about

    invoice payments due within four time periods you specify in the Aging Periods

    window.

    Open Items Revaluation Report

    Use this report to revalue the balances of your open items. Open items in this report are

    all invoices (including prepayments, credit memos, and debit memos) that are unpaid as

    of the last date of the revaluation period you specify.

    Expense Reimbursement Address

    Indicates whether employee expense reimbursement checks will be mailed to

    employees at their home or office address. This value is used when the Automatically

    Create Employee as Supplier option is enabled which will automatically create a

    supplier record based on the employee record in Human Resources. This supplier will

    have a site named either home or office along with the corresponding address.

    Supplier Number Type

  • Created by sword_111 11

    QQ: 71952431

    http://blog.163.com/sword_111

    Options include Alphanumeric or Numeric. After you begin entering suppliers, you can

    change your Number Type from numeric to alphanumeric at any time. However, you

    can change your Number Type from alphanumeric to numeric only if all of your current

    supplier numbers are numeric.

    When switching from manual to automatic numbering, you should ensure that the Next

    Automatic Number to be assigned has been reset to a number larger than the largest

    assigned number. For example, if the highest number assigned is 11215, set the next

    automatic number to at least 11216, but maybe even to 12000.

    11215

    11216 12000

    Supplier Numbering Options

    Automatically assigned numbers will use numeric characters only

    Manually assigned numbers can use either numeric or alphanumeric characters

    Invoice Match Option. Select Purchase Order or Receipts to indicate how you want to

    match most invoices. Defaulting is in the following order, but can be overridden at any

    level: Payables System Setup > supplier > supplier site > purchase order shipment. The

    value at the purchase order shipment controls which purchasing document type that you

    can match to an invoice.

    Hold Unmatched Invoices

    Payable does not apply a hold if the sum of the invoice distributions by accounting code

    combination is zero. Payables do not apply this hold to Prepayment or Interest invoices.

    Pay Group

    This is one of the methods Payables uses to specify which invoices should be selected

    during payment batch processing. (N) Setup > Payables > Lookup Codes

  • Created by sword_111 12

    QQ: 71952431

    http://blog.163.com/sword_111

    The system provides no Pay Group lookups, but you can define your own in this

    window.

    (N) Setup > Payables > Lookup Codes

    Vendor Type

    The Tax Authority supplier type indicates suppliers to whom you remit withholding

    taxes.

    Tax Authority supplier

    Profile Options

    System Administrator Responsibility

    (N) Profiles > System

    PO: Secondary E-mail Address

    This profile option allows you to send a copy of the e-mail PO to your company. If you

    wish to resend the e-mail, you will need to log into this secondary e-mail account and

    resend it from there.

    PO: In File Path

    Enter the absolute path of the directory where the generic terms and conditions file is

    placed.

    PO: Terms and Conditions File Name

    Enter the name of the generic terms and condition file that will be printed on your

    purchase documents.