ap ar netting

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R12 : Setting up for AP/AR Netting Posted on January 21st, 2008 by Sanjit Anand | Print This Post | Email This Post AP/AR Netting automatically compares Payables to Receivables and creates the appropriate transaction in each system to net supplier invoices and customer invoices. With this functionality, A receivables user can View netted receipt details directly from the receipt Create Netting Agreements and Netting Batches With this functionality, there is significant increase in user productivity and effectiveness because of tight integration and automation. You can access the process via: Navigation: Receipts > Netting > Netting Batch Navigation: Receipts > Netting > Netting Agreement Receipts > Receipts > Action Menu : AP/AR Netting After Querying a netted receipt, the user can see more details about the batch by selecting AP/AR Netting from the Action menu. This launches the AP/AR Netting batch window. Netted Receipts are created automatically by the AP/AR Netting process and cannot be updated by the user from the Receipts Workbench As we have seen Contra charging has been replaced by AP/AR Netting, lets take a setup walk though to use this functionality. 1.Define netting control account Setup>Financials>Flex field>key>values 2.Create bank Setup>payment>Bank and Bank Branches

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Page 1: AP AR Netting

R12 : Setting up for AP/AR Netting

Posted on January 21st, 2008 by Sanjit Anand |  Print This Post |  Email This Post

AP/AR Netting automatically compares Payables to Receivables and creates the appropriate transaction in each system to net supplier invoices and customer invoices. With this functionality, A receivables user can

View netted receipt details directly from the receipt Create Netting Agreements and Netting Batches

With this functionality, there is significant increase in user productivity and effectiveness because of tight integration and automation.

You can access the process via:

Navigation: Receipts > Netting > Netting Batch Navigation: Receipts > Netting > Netting Agreement Receipts > Receipts > Action Menu : AP/AR Netting

After Querying a netted receipt, the user can see more details about the batch by selecting AP/AR Netting from the Action menu. This launches the AP/AR Netting batch window. Netted Receipts are created automatically by the AP/AR Netting process and cannot be updated by the user from the Receipts Workbench

As we have seen Contra charging has been replaced by AP/AR Netting, lets take a setup walk though to use this functionality.

1.Define netting control account

Setup>Financials>Flex field>key>values

2.Create bank

Setup>payment>Bank and Bank Branches

You should note ,Payment document is not required for netting bank account.

3.Go to receivables responsibility, receipt class definition form

Setup>Receipts>Receipt class

Query the ‘AP/AR Netting’ receipt class which is a seeded one.

Page 2: AP AR Netting

4. Attach your bank account in this receipt class.

5.Go to system options, transaction and customer tabbed region, there enable ‘Allow payment of Unrelated Transactions’check box

Page 3: AP AR Netting

6. Create netting agreement

Receipts>Netting>Netting Agreement

7. Enter an Invoice in Payables, validate and run create accounting.

8. Enter a transaction in receivables.

Page 4: AP AR Netting

9. Create Netting Batch

Receipts >Netting >Netting Batch

10. Query your netting batch and see the status as Complete. also click on view report icon on right side.click on run push button, you can see the final netting report.

11.Go to view>request>find

You can see 3 concurrent request programs

Create Netting batch Settle netting batch Netting Data Extract

12.Now go to receipts and query the AP/AR netting receipt.

13.Now Go to Tools >view Accounting, you can see Netting control account (defined in first step a) debited and receivable account credited.

14. Now go to payables and query your invoice number and click the tab view payments. You can see the payment details and copy the document number.

15.Query your copied payment document number.What you can see the payment type as Netting .

16.Click actions button and enable the check box create accounting .

17.Go to tools>view accounting .You can see the accounting entry

Page 5: AP AR Netting

Posted in Oracle Payable, Oracle Receivable, R12, Release12 | 9 Comments »

“Contra Charging” to “R12 AP/AR Netting”

Posted on January 21st, 2008 by Sanjit Anand |  Print This Post |  Email This Post

1. Customer ABC raise an order to your company and your have made shipment of goods they have requested and you have raised an invoice of X amount, that you are expecting the money should be paid by customer.

2. Same time , you have some taken some services to the same customer which is a vendor in your Payable, and now you have liability to pay the amount Y, you received against PO.

What the business demand here is “Net off your supplier balance in AP (Payables) with customer balance in AR (Receivables)”

These kinds of business scenario always exist, specially if you are dealing with client whose line of business is either Airlines or Cargo or Healthcare domain. Such events are always there, therefore designing, configuring and identifying such need is foremost important step while implementing ERP.

What we seen after 11.5.9 , where similar kind of functionality Oracle has offered in term of “Contra Charging” which initially limited in European Localization and on and after 11.5.10, the same functionality have been standardize and incorporated in the product.

Contra Charging

Contra Charging allows you to select customer and suppliers through the screen and net their balances. This will submit two requests used to populate the Receivables and Payables Transaction Interface. This credit memos can then be imported through the standard invoice import in AR and AP.The base Functionality that currently exist in 11.5.10 are:

Use the Contra Charging window to physically match the customer to the supplier and allocate an amount for contra charging

Automatically populate the AR and AP Invoice Interface tables to create credit memos for the source Contra

Import the invoiceso in AR with the Submit Invoice Import window, using the source Contrao in AP with the Auto Invoice Import Program on the Run Auto Invoice

window, using the source Contra Use the standard functionality to post the imported credit memos to Oracle

General Ledger Use the Contra Netting Report

o to report on the netted contra charging transactions

Page 6: AP AR Netting

o to check that the contra charging has been carried out successfully in Oracle Receivables and Oracle Payables

How to make Contra Charging Feature enabled

Follow the below mentioned steps and you should be able to use the contra charging functionality.

1.Define document sequences, assign the document sequence to Contra document category.

You can assign a unique document sequence to each invoice and payment document in your Payables system so you have a unique identifier for each document.

A document category is a set of documents (invoices or payments) that share similar characteristics. You can assign a single document sequence to one or more document categories.

Use assignment window in System administrator responsibility to attach the document category with the document sequence created for contra charging invoices.

2. Setup Payables Contra Source.

A lookup is any predefined value that was not defined in a setup window.

3. Setup user profile for AP Responsibility, including the following:

Tax: Allow Override of Tax Code (Yes) Tax: Allow Override of Customer Exemption (Yes) Sequential Numbering (Partially Used) JG: Contra – Include Future Dated Payment in Supplier Balance (Yes)

4.Define Document Category called ‘Contra’.

5. Define Payables Lookup for ‘Contra’.

A lookup is any predefined value that was not defined in a setup window. Use the Oracle Payables Lookups window to review and maintain sets of values, or lookups, that you use in Payables. Use the Oracle Payables Lookups window to create a new Payables lookup for contra charging.

This New Contra Lookup Code will be used as a source when the Contra Charging Credit memos are created.

6. Assign a ‘Contra Charging’ Menu to ‘AP_NAVIGATE_GUI12′ main menu,which tied to AP Responsibility.

Page 7: AP AR Netting

To attach the Contra Charging Form to the Existing Payables Responsibility, attach JG_CONTRA_CHARGE_GUI Sub Menu to AP_NAVIGATE_GUI12 Main Menu.

Navigation Path: System Administrator responsibility: Application: Menu Form

7. Having created the new form ‘Contra Charging’, enter Contra Charging Transactions, then ‘Submit Contra transaction.

What’s new in Release 12

When a trading partner is both a customer and a supplier, an agreement may be made to offset open receivables’ against open payables’ items. Netting Agreements add trading partner terms as well as deploying company controls. A selection program automatically pulls information from Oracle Receivables and Oracle Payables taking into consideration discounts, late fees, and withholding taxes prior to determining the final netting amount. A review process and trading partner approval afford further verification to support the netting event.

The matching of open receivables and open payables is automated. You are now able to determine whether you or your trading partner has a greater balance outstanding and update your books, collect payments or make payments accordingly.

Benefits:AP/AR Netting provides for the ability to “collect†on your receivables balances with� the amount owed for your purchases by offsetting one against the other.This will Reduce bank Charges , Fewer Transactions to Process and thus significant Cash flow Improvement.

From 11i to R12

R12 Netting solution replaces 3 solutions(FV,JE,IGI) in 11i.

In R12 the Contra Charge functionality has been optimized and therefore changed into the AP/AR Netting functionality. In the Payables module as well as the Receivables module, there is a Netting submenu.

Page 8: AP AR Netting

Payables: Payments -> Entry -> Netting Receivables: Receipts -> Netting

“Contra Charging” to “R12 AP/AR Netting”Posted on January 21st, 2008 by Sanjit Anand |  Print This Post |  Email This Post

1. Customer ABC raise an order to your company and your have made shipment of goods they have requested and you have raised an invoice of X amount, that you are expecting the money should be paid by customer.

2. Same time , you have some taken some services to the same customer which is a vendor in your Payable, and now you have liability to pay the amount Y, you received against PO.

What the business demand here is “Net off your supplier balance in AP (Payables) with customer balance in AR (Receivables)”

These kinds of business scenario always exist, specially if you are dealing with client whose line of business is either Airlines or Cargo or Healthcare domain. Such events are always there, therefore designing, configuring and identifying such need is foremost important step while implementing ERP.

What we seen after 11.5.9 , where similar kind of functionality Oracle has offered in term of “Contra Charging” which initially limited in European Localization and on and after 11.5.10, the same functionality have been standardize and incorporated in the product.

Contra Charging

Contra Charging allows you to select customer and suppliers through the screen and net their balances. This will submit two requests used to populate the Receivables and Payables Transaction Interface. This credit memos can then be imported through the standard invoice import in AR and AP.The base Functionality that currently exist in 11.5.10 are:

Page 9: AP AR Netting

Use the Contra Charging window to physically match the customer to the supplier and allocate an amount for contra charging

Automatically populate the AR and AP Invoice Interface tables to create credit memos for the source Contra

Import the invoiceso in AR with the Submit Invoice Import window, using the source Contrao in AP with the Auto Invoice Import Program on the Run Auto Invoice

window, using the source Contra Use the standard functionality to post the imported credit memos to Oracle

General Ledger Use the Contra Netting Report

o to report on the netted contra charging transactionso to check that the contra charging has been carried out successfully in

Oracle Receivables and Oracle Payables

How to make Contra Charging Feature enabled

Follow the below mentioned steps and you should be able to use the contra charging functionality.

1.Define document sequences, assign the document sequence to Contra document category.

You can assign a unique document sequence to each invoice and payment document in your Payables system so you have a unique identifier for each document.

A document category is a set of documents (invoices or payments) that share similar characteristics. You can assign a single document sequence to one or more document categories.

Use assignment window in System administrator responsibility to attach the document category with the document sequence created for contra charging invoices.

2. Setup Payables Contra Source.

A lookup is any predefined value that was not defined in a setup window.

3. Setup user profile for AP Responsibility, including the following:

Tax: Allow Override of Tax Code (Yes) Tax: Allow Override of Customer Exemption (Yes) Sequential Numbering (Partially Used) JG: Contra – Include Future Dated Payment in Supplier Balance (Yes)

4.Define Document Category called ‘Contra’.

Page 10: AP AR Netting

5. Define Payables Lookup for ‘Contra’.

A lookup is any predefined value that was not defined in a setup window. Use the Oracle Payables Lookups window to review and maintain sets of values, or lookups, that you use in Payables. Use the Oracle Payables Lookups window to create a new Payables lookup for contra charging.

This New Contra Lookup Code will be used as a source when the Contra Charging Credit memos are created.

6. Assign a ‘Contra Charging’ Menu to ‘AP_NAVIGATE_GUI12′ main menu,which tied to AP Responsibility.

To attach the Contra Charging Form to the Existing Payables Responsibility, attach JG_CONTRA_CHARGE_GUI Sub Menu to AP_NAVIGATE_GUI12 Main Menu.

Navigation Path: System Administrator responsibility: Application: Menu Form

7. Having created the new form ‘Contra Charging’, enter Contra Charging Transactions, then ‘Submit Contra transaction.

What’s new in Release 12

When a trading partner is both a customer and a supplier, an agreement may be made to offset open receivables’ against open payables’ items. Netting Agreements add trading partner terms as well as deploying company controls. A selection program automatically pulls information from Oracle Receivables and Oracle Payables taking into consideration discounts, late fees, and withholding taxes prior to determining the final netting amount. A review process and trading partner approval afford further verification to support the netting event.

The matching of open receivables and open payables is automated. You are now able to determine whether you or your trading partner has a greater balance outstanding and update your books, collect payments or make payments accordingly.

Page 11: AP AR Netting

Benefits:AP/AR Netting provides for the ability to “collect†on your receivables balances with� the amount owed for your purchases by offsetting one against the other.This will Reduce bank Charges , Fewer Transactions to Process and thus significant Cash flow Improvement.

From 11i to R12

R12 Netting solution replaces 3 solutions(FV,JE,IGI) in 11i.

In R12 the Contra Charge functionality has been optimized and therefore changed into the AP/AR Netting functionality. In the Payables module as well as the Receivables module, there is a Netting submenu.

Payables: Payments -> Entry -> Netting Receivables: Receipts -> Netting

Suggested Reading

Oracle Financials Common Country Features user guide.

Posted in Oracle Receivable, R12,