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In Detail
Netting Bank Account
Navigation: Payable Manager --> Setup --> Payments --> Bank Accounts
Click on Create button.
Create a Bank Account, which can be used by the netting process. Set the Netting Account
flag to yes.
Assign this bank account to the seeded Receivables receipt class AP/AR Netting
Navigation: Receivable Manager --> Setup --> Receipts --> Receipts Class.
Query AP/AR Netting and then click on Bank Accounts and assign the Netting bank
account.
Navigation: Receivable Manager --> Receipts --> Netting --> Netting Agreement.
Click on Create Agreement.
click on Next.
Enter Supplier Name and Customer Name
Assignment Tab:
Only invoices for the Supplier and supplier sites (if specified) in the agreement are
selected.
Only invoices with the selected invoice types in the agreement are included.
Operating unit of the invoices must be the same as the operating unit of the batch.
Invoices must be approved
Invoices must not be on Hold
Invoices that have already been included in a batch that is not yet in status Complete are
not included.
Locking AP invoices:
o Selected AP invoices are locked by populating AP_PAYMENT_SCHEDULES.Checkrun_id
Column for the selected invoices
o The same Checkrun_id value is populated in FUN_NET_BATCHES.Checkrun_Id for the
given batch
Criteria used for Selecting AR Transactions:
AR Payment Schedule due date must be less than or equal to transaction date mentioned
in Netting.
AR payment schedule date should be between the Agreement Start Date and end date.
Transactions must be complete
Only Transactions for customer and customer sites (if specified) in the agreement are
selected.
Only transactions with the selected transaction types in the agreement are included.
Operating unit of the transactions must be the same as the operating unit of the batch.
The Receipt method associated with the transaction should not have a
Payment_type_code = CREDIT_CARD
Transaction must not be in dispute
Payment schedule status must be open
Transaction must not be a prepayment (RA_CUSTOMER_TRX.PREPAYMENT_FLAG =
N)
Criteria used for ordering the transactions:
Invoices and transactions are first ordered by Supplier and Customer priority associated in
the agreement.
They are then ordered by Netting order rule selected in the agreement.
The priority is important as this determines which transaction/invoice will be netted first.
What happens when we submit a Netting Batch?
The following validations are performed when a netting batch is submitted, as there might
be a time lag between when the batch is created and when the batch is submitted. It is also
possible that the batch may have been modified.
If the current date has passed the batch settlement date, then the batch is set to status
SUSPENDED and the AP invoices are unlocked.
AP and AR balances for transactions are validated again. If the validation fails then the
batch is set to status ERROR and the AP invoices are unlocked.
If the batch has passed all validations, it is sent for approval, if approval is required, else
the settle Netting batch process is initiated.
How Netting Batches are settled?
Validation
o The process starts off with the validation of AR transactions. This is necessary as the AR
transactions are not locked when the netting batch is created and therefore there is a
possibility that the AR transaction may have been modified since it was included in the
netting batch
o If any validations fail, the batch is set to Cancelled Status.
o Validations are also performed to check whether the GL, AR, and AP periods are open for
the batch settlement date. If not, then the batch is set to status ERROR and an error
message is displayed in the Report log.
Derive Netting Bank Details
o Netting bank details like bank account name, bank account owner and number are
derived based on the FUN_AGREEMENTS.bank_account_id for the given batch.
Settle AP invoices
o Invoices in each batch are grouped by vendor, vendor site and invoice currency code.
o AP payment APIs are called to process the payments. These APIs return the check id
which is updated in FUN_NET_AP_INVS_ALL.Check_ID
Settle AR transactions
o AR receipt APIs are called to create and apply the receipts. These APIs return the receipt
id which is updated in FUN_NET_AR_TXNS.RECEIPT_ID
o If all processing goes through successfully then the batch is set to COMPLETE and the
AP invoices and netting agreements are unlocked.
What are various Netting Batch Statuses?
Netting Batch Status Event
RUNNING User creates the netting batch
SELECTED Review Batch option is set to YES
ERROR Error encountered while validating or selecting transactions
SUSPENDED Current date has gone passed the batch settlement date
CLEARING Review batch option is set to NO but no approval is required.
SUBMITTED Review batch option is set to NO and approval is required.
REJECTED Batch has been reversed
APPROVED User approves batch requiring approval
COMPLETE Netting process completed for transactions
REVERSING User chooses to reverse the batch
REVERSED Batch has been reversed