Administration tab in INVOICING in COMPANY
Contents
Topic in the order
Accruals (print in the eFile)
Automatic accruals for Truck manifest (ECM function in the Airfreight order)
eFile tab in the order (Accruals: print in the eFile)
Basic data
Field description
Field | In the order |
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One-time address 1-4 | After you have entered an address with account type D or K in the address basic data, enter the account number in one of the one-time address fields. You can enter up to four one-time addresses in CargoSoft. Usually, such an address does not have entries for street or location - matchcode and name suffice to identify the address. Â |
One-time addr. with numbering | Using this account number, you can create vouchers that do not have a fixed address account number on their own. : Belongs to One-time address in Number range tab. |
Account no. internal settlements | Automatically pre-assigns the bill-to-party entered here for the internal settlement in the order. |
Print internal settlements | Activate to trigger the instant print of a voucher through by completed and saved internal settlements. |
Check whether an altern. financial account is entered | Fields for alternative financial accounts Check procedure Example from the order processing
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Different account has to be filled per currency | Authorizarion object: EAOPBETRAGADR If different accounts per currency have been created for an address in the accounting system, they can be entered here. The fields for alternative financial accounts per currency are located in basic data ADDRESSES → Alternative accounts per currency sub tab in the Accounting tab in ADDRESSES. The alternative financial account must be filled per currency!!! Attention The priority in the programme is to check the deviating accounts on the Accounting tab and only then the sub-tab Alternative accounts per currency.  Example from the order processing  Set up a foreign currency for the invoice recipient that can be used for invoices.  |
Section CASS
Accounting period CASS suggest from | Whether the accounting period should be suggested from the voucher date of the CASS file or the billing period. |
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CASS - Open files automatically | CASS billing: Here you can decide whether the file is to remain closed when booking the CASS. |
Section Billing codes for profit share
Billing code for profit share | See Invoicing → Automatic preallocation of Billing Lines in outgoing invoices → Profit sharing automatism. |
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Section Billing codes for automatic invoicing
Billing code for Truck manifest | To automatically create the accruals for the truck manifest in airfreight, a truck manifest activity type must be stored. When activating the billing codes in INVOICING for the accruals entry, enter the code for the truck manifest in the field Billing code. |
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Section Accruals
Carry forward accruals (month end) | Activates month-end closing accruals with the carry forward to the next month. |
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Block accrual entry | Activates the context menu entries Close accruals and Open accruals in the account sheet for the function Close accruals: Block accrual entry. |
Print accrual upon entering | If this checkbox is activated, a voucher for the accrual is printed and can also be filed in the e-file of the corresponding position. Upon entering, dissolving and canceling an accrual will be printed. The entry can be made via
NO printout shall be made when recording accruals in airfreight in the case of
For printing the DISSOLUTION and the CANCELLATION, it is possible to open the print preview instead of the immediate print. Report and print control is made via the report entries: Settings for reports are enterred in Reports in ADMIN. Print control is done via the standard entry REPORTS in the menu ADMIN → FORMS → FORMS or, if desired, an entry can be made under the report ID (e.g. EFRUECKA).  |