Vendor Receivables Control Settings
(Vendor Receivables System Control Settings)
Access
If using the Vendor Receivables module, use this
routine to set the preferences you use in the Vendor Receivables module.
Number of Days HistoryEnter the number of days
you want closed vendor receivable transactions to remain in the system
before purging. Enter a number from 0 to 999. If you enter zero
(0), the system does not create vendor receivable history records. STORIS
recommends you not set this field to zero.
Next Reference NumberThis field contains the number
the system assigns to the next receivable record you create when manually
posting adjustments. The number increments by one each time a new reference
number is assigned. If you leave this field blank, the system assigns
10000 as the startup number.
Next Deposit NumberThe number used by the Cash
Application program to associate all receivables paid by the same check
or AP bill. The number increments by one each time a new reference number
is assigned. If
left blank, you must enter a unique deposit number for each payment.
Default Due DaysThe number of days the system
adds to the default due date of a receivable transaction. Set this field
within a range of 0 to 999 days. If a VR Terms Code appears in the Vendor record for the vendor
involved in a given transaction, the system uses that code to calculate
the default due date and ignores the number that appears here.
Number of Aging DaysThis field contains the number
of days to be represented in each "bucket" on the Aged Trial
Balance report. Set this field within a range of 0 to 999. This field
may initially be set to 30.
Payables Hold CodeEnter the hold
code you want to apply to debit AP bills generated automatically from
the Manual Adjustments tab of the Apply
Payments and Maintain Vendor Receivables Balances process. You
create vendor receivable bills in that process when you convert an adjustment
to a payable.
Bank Reconciliation Deposit CodeIf using
the Bank
Reconciliation feature, enter the code of the deposit
type you want to use for vendor receivables transactions. If
you leave this field blank, the system does not create bank reconciliation
records for VR transactions.
Report Sort ByChoose
the format by which you want to sort vendor receivable reports. Choose
either Product Code or Vendor
Model Number.