Edit Bank Collection Batch

Glossary

Basics of using Ramco Enterprise series web page

Using online help

This page allows you to modify the details of a selected receipt that is in the ““Fresh” or “Returned” status. Tell me more.

The “Edit Bank Collection Batch” page appears.

The system displays the following fields in the “Batch Information” group box:

Bank Collection Batch No.

The number identifying the batch number.

Numbering Type

The numbering type using which the Batch was generated is displayed.

Status

The status of the batch number.

Receipt Date

The date on which the batch is created (Date Format). This date must not be later than the system date and must fall within an open financial year. The date on which the batch has been generated will be displayed by default on launch of page.

The system displays the following fields in the “Batch Information” group box:

Finance Book ID.

The code identifying the finance book in which the posting is to be made.

Receipt Method

The method of receipt.

Customer Code From

The starting code in the range of codes identifying the customer (Alphanumeric, 16). You can enter the codes in full or specify it partially using the “*” character.

Customer Code To

The starting code in the range of codes identifying the customer (Alphanumeric, 16). You can enter the codes in full or specify it partially using the “*” character.

Debit Doc. Type

Use the drop-down list box to select the type of the debit document against which the payment received from the customer must be adjusted. You can select from “Order Invoice”, “Direct Invoice”, “Debit Note”, “Prepayment Invoice”. The system displays “Blank” by default on  launch of the page.

Debit Doc. Currency

Use the drop-down list box to select the code identifying the currency in which the debit document has been raised. All the currencies that have been mapped to the Customer Receivables Account in "Account Rule Definition" business component will be available for selection in the ascending order.

Bank Code

Use the drop-down list box to select the code identifying the bank.

Transaction without Bank Codes

Use the drop-down list box to select from either "Yes" or "No".

Data Criteria

Use the drop-down list box to select the data criteria.

Grace Days

The number identifying the grace days (Numeric).

Date From

The starting date in the range of dates (Date Format).

Date To

The ending date in the range of dates (Date Format). Mandatory.

The system displays the following details in the “Debit Documentation Information” multiline:

Debit Doc. Type

The type of the debit document.

Customer Code

The code identifying the customer.

Document No.

The number identifying the debit document.

Company Bank Code

Use the drop-down list box to select the code identifying the bank of the company.

Customer Bank Reference

Use the drop-down list box to select the code identifying the customer bank reference. All the unique codes available for the range of customer codes will be available for selection.

Customer Bank Account

Use the drop-down list box to select the bank account number of the customer. All the account numbers of the range of customer codes will be available for selection.

The system displays the following details in the “Debit Documentation Information” multiline:

Currency

The code identifying the currency in which the payment has to be received.

Doc. Amount

The amount of the document.

Outstanding Amount

The outstanding amount after the adjustment of previous payments.

Receipt Amount

The amount of the receipt (Decimal). Mandatory. The amount must be greater than zero.

Discount

The discount due to the instrument.

Charges

The charges incurred on the debit document.

The system displays the following details in the “Debit Documentation Information” multiline:

Tran. Net Amount

The net amount of the transaction.

Receipt No.

The number identifying the receipt generated during authorization of the Batch.

Adjustment No.

The number identifying the adjustment generated during authorization of the Batch.

Term No.

The number identifying the payment due

Due Date

The date on which the payment is due.

Exchange Rate

The number of units of the base currency with respect to the transaction currency if they are different

Proposed Discount

The  proposed discount.

Discount Rate

The discount rate

Proposed Charges

The charges proposed for the debit document.

Billing Point

The point at which document was raised.

Doc. Date

The date on which the document was raised.

CC

The number identifying the cost center to which the charges account is mapped (Alphanumeric, 10). This cost center must have been defined in the “Create Cost Center / Unit” activity of the “Cost Center Setup” business component.

 

Help facility available.

Analysis Code

The analysis code to which the charges account is mapped to in the “Create Analysis” activity of the “Account Based Budgeting” business component (Alphanumeric, 5).

 

Help facility available.

Sub Analysis Code

The sub analysis code to which the analysis code has been mapped to in the “Account Based Budgeting” business component (Alphanumeric, 5).

The login ID of the user and the system date is updated in the “Last Modified By” and “Last Modified Date” fields.

To proceed, carry out the following

The system displays the following:

Created By

The login user ID of the person who has created the batch.

Created Date

The date on which the batch was created.

Last Modified By

The login ID of the user who has last modified the batch.

Last Modified Date

The date on which the batch was last modified.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Edit Bank Collection Batch – an overview

Based on the batch number selected, the system retrieves and displays the bank collection batch number. You can modify the date on which the batch was generated. You can carry out a search process for retrieving the debit document details whose details are to be modified.

You can carry out a search process by specifying a range for the code identifying the customer. You can also specify the type of the debit document, the currency of the document and the number identifying the document to retrieve debit documents for which collection process has to be initiated.

You can authorize the modified batch number in this page. The status of the batch after authorization is updated to “Authorized” and Receipt vouchers and adjustment vouchers are automatically generated. The same are displayed in the multiline. The system stores the login ID of the user and the system date along with the modified details of the batch.