This page allows you to view the details of an item based debit / credit note. You can view the details like the number identifying the debit / credit note and the type of the note. You can also view the status of the note and the finance book in which details are available. This page also allows you to view the details of the customer for whom the debit / credit note was created. You can also view the details of the payment to be received from the customer and the list of items for which the debit / credit note has been created. If the debit / credit note has been put on hold or reversed, you can view the reasons and any remarks recorded while putting the note on hold or during the reversal process. The system also displays the login ID of the user who created and modified the details of the note last and the date on which the note was created and modified last.
Select the “Item Based Note” link at the bottom of the “Select Debit / Credit Note” page.
The “View Item Based Note” page appears.
The system displays the following:
Workflow Status |
The status of the document as per Workflow Applicability. |
The system displays the following in the “Note Information” group box:
Note No. |
The number identifying the item based debit / credit note. |
Note Type |
Indicates the type of the note. It could be “Debit” or “Credit”. |
Status |
The status of the debit / credit note. It could be "Draft", “Fresh", "Returned", "Authorized", "Deleted", "Held", "Partly Paid" or "Fully Paid". |
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Note Date |
The date on which the debit / credit note was created. |
Finance Book |
The code identifying the finance book in which the financial posting is to be made. |
The system displays the following in the “Customer Information” group box:
Customer Code |
The code identifying the customer. |
Customer Name |
The name identifying the customer. |
Zoom facility available | |
Customer Registered At |
The code identifying the organization unit in which the customer has been defined. |
Customer Note No. |
The number identifying the debit / credit note issued by the customer. |
Customer Note Amount |
The amount of the debit / credit note. |
Customer Note Date |
The date on which the debit / credit note issued by the customer was created. |
Customer Account Code |
The Customer Control Account code to which the postings should happen. |
Account Description |
The description of the Customer Account Code. |
The system displays the following in the “Payment Information” group box:
Currency |
The code identifying the currency in which the debit / credit note has been created. |
Exchange Rate |
The exchange rate of the transaction currency with respect to the base currency of the company if they are different. “1” (one) will be displayed if the transaction currency and the base currency are the same. |
Pay Term |
The code identifying the pay term. |
Receipt Method |
Indicates the method in which the payment is to be received. |
Anchor Date |
The date from which the liability of the debit note has been calculated. |
Total Amount |
The total amount of the debit / credit note that is calculated as the difference of the sum total of all the tax, charges and discounts. |
Comments |
Any observations regarding the payment to be received for the debit note. |
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Zoom facility available |
Reason Code |
The reason for which the debit/credit note was raised. |
The system displays the following in the "Project Information” group box:
Project OU |
The Organization Unit in which the Project Code has been created |
Project /Sub-Project Code |
The code Identifying the Project /Sub-project to which the transaction is associated. |
Project /Sub-Project Description |
The description of the project / sub-project. |
The system displays the following in the “Item Information” group box:
Line No. |
The number identifying the line in which the tax, charge or discount is available in the debit / credit note. |
Doc. Type |
The type of the document based on which the debit / credit note has been created. It could be “Sale Order”, “Customer Order Based Invoice”, “Customer Direct Invoice”, “Customer Item based Debit Note” or “Customer Credit Note”. |
Ordering Point |
The code identifying the organization unit in which the invoice, debit / credit note was created. |
Doc. No. |
The number identifying the invoice, debit / credit note. |
Doc. Date |
The date of the document. |
Item / TCD Code |
The code identifying the item, tax, charge or discount. |
Variant Code |
The code identifying the item, tax, charge or discount variant. |
Qty. |
The number of units of the item for which the debit / credit note has been created. |
Unit Rate |
The unit rate of the item / tax / charge or discount. |
Transaction Amount |
The transaction amount. |
Remarks |
Any observations pertaining to the need for creating a debit / credit note for the item, tax, charge or discount. |
Cost Center |
The code identifying the cost center that has been mapped to the account. |
Analysis Code |
The analysis code to which the account has been mapped. |
Sub Analysis Code |
The sub-analysis code to which the analysis code is mapped. |
Item / TCD Type |
Indicates that it is an item, tax, charge or discount. |
Item / Doc. Level |
Indicates whether the tax, charge or discount has been calculated at the “Item Level” or at the “Document Level”. |
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TCD on Line Item |
The tax, charge or discount that has been charged at the line item level. |
Customer Complaint No. |
Customer Complaint No. would be displayed when the reference document is Sales Return which is raised against the Return Material Request (RMR) which has the customer complaint No. as reference. |
The system displays the following in the “Hold / Reversal Information” group box:
Reversal Doc. No. |
The number identifying the reversal document that has been generated for the item based debit / credit note. |
Reversal Date |
The date on which the reversal document was generated. |
Reason for Hold |
The code identifying the reason for which the debit / credit note has been put on hold. |
Remarks for Hold |
Any observations or comments regarding the need for putting the debit / credit note on hold. |
Zoom facility available | |
Reason for Reversal |
The code identifying the reason for which the debit / credit note has been reversed. |
Remarks for Reversal |
Any observations or comments regarding the need for reversing the debit / credit note. |
Zoom facility available |
Enter the following:
Print Language |
Use the drop down list box to select the language in which the note is to be printed. You can select from the list of Application and Report Languages mapped for the Company. |
Click the “Print Note" pushbutton to print an invoice.
The system displays the following:
Created By |
The login ID of the user who created the item based debit / credit note. |
Created Date |
The date on which the item based debit / credit note was created. |
Last Modified By |
The login ID of the user who last modified the item based debit / credit note. |
Last Modified Date |
The date on which the item based debit / credit note was last modified. |
To proceed, carry out the following
Select the “Adjustment” link at the bottom of the page to view the details of the documents that have been selected for adjustment.
If Pay modes are not applicable for the company, select the “Payment Schedule” link at the bottom of the page to view the details of the payment schedule.
If Pay modes are applicable for the company, select the “Payment Information” link at the bottom of the page to view the electronic payment details.
Select the "Tax Calculation - Summary" link at the bottom of the page to view the tax calculation.
Select the “Note Summary” link at the bottom of the page to view the summary of a debit / credit note.
Select the “Accounting Information” link at the bottom of the page to view the account posting information.
Select the “Attach Notes” link at the bottom of the page to add observations or comments regarding the debit / credit note.