Invoices Out
The book Invoices out is used for issuing invoices to customers and for their record. In this book it is possible to issue both bound invoices from the set Sales Orders and unassigned invoices without a Sales Order (the unassigned documents). The invoices serve as tax documents in Accounting. At the same time, the evaluation of article sales and a customer with draw of article from invoices, and it is always done so according to the Invoice Date.
Picture: The opened menu of the Sale / Processing of Sales Orders - Invoices Out module
Book of Invoices Out
On the individual pages of the Invoices, we may find the items that are very similar to one another in their function in both types of Invoices (Invoices Out and Invoices In) . The same principle is valid for the design of particular pages and for the character of the information displayed on them.
Picture: The Book of Invoices Out
The meaning of the graphic symbols of payments on Invoices Out
unpaid prior to maturity
not paid off prior to maturity
unpaid after maturity
not paid off after maturity
unpaid after x days after maturity
not paid off after x days after maturity
overpaid
paid
Basic Data (1st page)
The first page of invoices is used to display identification and basic invoice data and some other information such as payment method, shipping method, date of issue etc.
Picture: Invoices Out - 1st Page
Field description:
Contract |
The number of the Sales Order that the Invoice is linked with. If the invoice has been issued as a free document, this field is empty. Note: Before we create an Invoice, we determine whether the document is linked or free by means of the wizard. It is not possible to change the Sales Order in Change mode any more. |
Addresses |
The button to display an addressee or the superior company. Closer description is in the chap.Addressee. |
Invoice |
The book, business year, and the number of an Invoice. |
Status |
The field for selecting from a code list that enables filtering of documents according to the selected status. |
Customer |
A business partner's name that you insert by selecting it from Suppl./Cust. book. In the case of a new partner, you can insert anew Supplier/Customer card into this book with the Inskey (eventually with the F6 key - insert according to the indicated specimen), edit (by pressing the F5 key) or only browse a card (by pressing the F4 key). |
Prices |
The amount for which the Invoice has been issued. Stated in this row is the Gross price, Net price, and also the amount of VAT. |
Currency |
The flag indicates that the Invoice is issued in foreign currency. |
VAT |
When the field is checked, it is a common invoice for which value added tax is paid |
Credit Note |
If the field is checked, it is a Credit note. |
Excise Tax |
If the field is checked, an excise tax will be calculated on the Invoice. |
Substitute Payment Mode |
The option defines whether a Sales Order is in the substitute payment mode. |
It is possible to assign random types and kinds of notes tothe Invoices; eventually, you can use the Header Text or the Footer Text. Further work description with The notes is listed in the Basic Code Lists and Supporting Modules K2 – Notes chapter The Internal Customer Text tab serves to display the customer's internal text. There are also the Tasks and Activities tabs. Closer description of work with the folders is stated in the Tasks - Document Folder and Activities - Document Folder chapters.
The payment conditions can be displayed in the Payment Conditions tab.
The basic data of the Invoice Out header are divided into several tabs.
The Data tab contains basic information of the document header.
Picture: Data - Invoice Out (page 1)
Field description:
Cost centre |
Again, this is filled in from the selection menu of cost centres. |
Contract Code |
It is a numeric or text data used to sort activities of the company. |
Paid in Full On |
The date of the actual Invoice payment. |
Device |
A reference to the Device book. It is copied from a Sales Order into the subordinate documents. |
Code 1, Code 2, Officer |
The fields enable user identification, and eventually a link to the Officers book. Closer description is in the chap. For the further description see the Basic Code Lists - Code 1, Code 2, Officer chapter. |
Order No. |
A manually entered order number. |
Form of order |
The way the order for goods has been made. |
Payment Method |
The method of paying the invoice. Note: The payment method can influence the Invoice rounding. For further description, see the Rounding of Domestic Invoices Depending on the Payment Method methodology. |
Method of transport |
Method of transport of goods. Button next to the Method of transport field is mainly related to eshop. If there is an article where the Packet Type field is filled on the 1st page of an Article card in the item of a Sale document, the list of Methods of Transport corresponding to the defined conditions in the Packet Type field is displayed after pressing this button. Other records are not displayed. Note: For the needs of Intrastat, a Mode of transport can be assigned to each method of transport. |
Accounting Transaction Date |
Acc. trans. date enters the Accounting. You can change the date on an Invoice Out according to the confirmation date of a Release Note by pressing Shift+F2 in the Change mode. |
Invoice Date |
An Invoice Date enters the VAT Return. If the Invoice Date is zero, the document does not enter the VAT Return. |
External Number |
External number (60-character text). |
Comp. Reg. No. |
Comp. Reg. No. of a customer. If it is not defined here, the Comp. Reg. No. from the Customer card is applied. |
VAT Reg. No. |
VAT Reg. No. of a customer. If it is not defined here, the VAT Reg. No. from the Customer card is applied. |
Tax No. |
Tax number of a customer. If it is not entered, the tax No. from the Customer card is applied. |
Maturity (days) |
Number of maturity days. The number of days preset in the Client Parameters (Administrator module), resp. from Suppl./Custom. tab. |
Exchange Rate |
The document currency and the exch. rate for recalculation to the domestic currency. The rate valid to the date of issue is selected. If the Invoice Exch. Rate According to Acc. Trans. Date option is checked in the Client Paramaters, an exch. rate to the acc. trans. date is filled in. This field cannot be edited any more after you pay and reprice this document. |
Exchange Rate According to Date |
This button enters an exchange rate from the exchange list that is valid to the date depending on the Exchange Rate According to the Date of Accounting Transaction parameter. |
Exchange List |
This button opens the preview of an exchange list of the given currency and sets the cursor on the rate valid on the date of issue of the Invoice. |
Type |
Tax type determines into which line of the VAT Return the Invoice will be entered. |
Bank account |
The bank account of our "Company" to which the payment is to be sent. If the Uniform Bank Connection for IO client parameter is on, the bank account from the customer in the own company is entered, otherwise the bank account set in the Suppl./Cust. card is entered. |
Late Charges (%) |
The percentage of penalty from delay for each day of late payment from the due date - it is filled from the Suppl./Cust. card. It the Statutory interest field is checked, the Late charges is filled from the Statutory interest table. |
Matching Symbol |
This field serves for setting the matching symbol definition of the accounting document (see the Accounting - Matching Symbols chapter). |
Posting key |
Selecting a Posting Key (by selecting it from the selection menu) determines the way how the created Invoice will be posted. Posting Keys are set in the Accounting - Posting Keys module. On 1. page of the Book of Sale, it is possible to set the Posting Key that will be automatically entered into this field. |
Account |
The field is automatically filled in by the Account in the Book of Sale. If it is not filled in in the book, the Receivables Account from the 1stpage of the Suppl./Cust. card is entered. |
Account Number, Bank/SCB, IBAN |
The customer bank account number. It is possible to select the account entered in the Customer card (it is not filled in automatically), or enter the value manually. |
Reference Number |
A Reference Number of an Invoice - it can be created automatically according to the settings in Books of Sale. It must be unique - the program will alert you to any duplicate of a Reference No. |
Constant Symbol |
The constant symbol added by selecting from a The menu. |
Specific Symbol |
A Specific Symbol for the payment. |
Price Group |
The price group of the invoice header according to which the selling prices are determined. This price group is pasted into particular Invoice items. |
Plan Type |
A plan type that is defined in the Book of Sale is entered into this field by default (see the Basic Code Lists and Supporting K2 Modules - Plan Type chapter). The plan type serves for classification of documents. |
Date of Issue |
The date of issue of an Invoice. The current date is automatically filled into this field. In case of need, it is possible to overwrite the date by another date. |
Due Date |
The due date of an Invoice. According to the settings in the Derive Due Date from Accounting Trans. Date client parameter, the Due date is automatically entered by adding the number of Maturity Days to the value of the Date of Issue field or to the Acc. Trans. Date field. If the Floating Maturity is checked on the Suppl./Cust. card in the Payment Conditions tab, the Due date is filled in according to the Month Shift and Days From The Beginning of Month values. |
Control Statement Date |
The date of the Control Statement. It is necessary to be filled only if it differs from the Invoice Date. |
Statutory Interest |
A check mark that determines whether the Late charges will be calculated by the contract or by law. |
Description |
Here, it is possible to insert a description manually or by selecting it from the selection menu, insert a more detailed specification of the invoice (purpose for which it was issued…). |
VAT No. From Addressee |
For the VAT return, VAT Reg. No. is taken from the invoice address (if the invoice address is filled in). |
Do Not Record |
The Invoice amount will not be added to the customer's turnovers displayed on the 2nd page of the Suppl./Cust. card if this field is checked. Simultaneously, the confirmation of the Invoice with this checked field does not influence the value of the Last Price field on the Article card, Date of the Last price field and Date of the last purchase field. The Invoice will also not be added into the credit on the 1st page of the Suppl./Cust. card when confirmation. |
Created |
The name of the employee who has issued the Invoice. |
Changed By |
The date and name of the employee who made the last change of the Invoice. |
In the upper part of the Tax summary tab are the prices of an Invoice without the deduction of Advances. The displayed Gross, Net and VAT values show an Invoice amount without the deducted Advances.
There is a table of the price recapitulation of the Invoice under this information.
Picture: Tax Summary - Invoice Out (1st page)
It displays the VAT documents items, in which the Invoice is entered.
Picture: Invoice Out - 1st page with items of VAT documents
Internal documents in which an Invoice is stated in the header of an internal document in the Document field are displayed.
Picture: Invoice Out - 1st page - Internal Documents tab
The tab serves to enter data which are important for reporting Intrastat.
Picture: Invoice Out - 1st page - Intrastat tab
Border Crossing Date |
Decision date for input of an invoice to Intrastat. It is filled with an invoice date. If the Border Crossing Date According to Invoice Date Client parameter is checked, then it is filled with this date. |
Transaction |
Type of transaction of an invoice. |
Delivery terms |
Delivery terms for an invoice. |
Country of Destination |
A country of destination for an invoice. It may be filled in if the country of destination is different than the country in the customer address (eventually in the delivery address, if entered). |
Mode of transport |
Mode of transport for an invoice. It may be filled in if the Mode of Transport is not entered in the Method of Transport code list. |
Do Not Include into Intrastat |
The checked field ensures that the document does not enter Intrastat (even if it should enter there according to other conditions). |
Low Value Consignment |
Data about the individual consignment of the dispatched goods, invoice value of which does not exceed 200 EUR,can be characterized summarily as a Low Value Consignment under the common article code "99500000". The check, whether the invoice satisfies the conditions for Low value consignment, will be executed by checking the flag. If the invoice does not meet the conditions, the items in Intrastat will be loaded separately. |
Credit Note in Dispatch |
The checked field ensures that the item of the Invoice Out with the negative quantity will get into Intrastat - Dispatches. If the field is not checked, the given item will enter into Intrastat - Arrivals. Note: It is appropriate to use it if a company reports only Intrastat - Dispatches. |
It displays Intrastat document items, in which the given Invoice Out is entered.
Picture: An Invoice Out - 1st page with the items of Intrastat documents
Recapitulation of the Excise tax is displayed.
Picture: Invoice Out - 1st page - Excise Tax
Items (2nd Page)
On the second page of Invoices, you can find an overview of particular items that the Invoice is issued for. We insert a new item in the Change or in the New record by key Ins. If you issue an unassigned document, the Sale item form is displayed, into which you select a required article and enter the required data. If you issue assigned document, after pressing Ins select the items from the Header Items book. All the items that are sorted to the appropriate Sales Order are stated there; however, no Invoice has been issued for them yet.
Picture: Invoices Out - 2nd Page
The Sale Item form can also be activated by pressing the Enter key over the particular Invoice Out items either in the Change mode or in The Browse mode. In addition, the Change mode allows you to edit the data about invoiced prices, quantities, you can set the codes, etc.
In the heading of the document, you can display the data about the planned and the actual profit and margin of a document. See further description in the Profit, Margin and Stock Price chapter.
Values in the document items, including discounts, can be adjusted in bulk with the Bulk Change of Items button in the Change mode. For further description of this function, see the Bulk Edit Document Items and Purchase and Sale Items chapters.
In the lower part of the 2nd page of an Invoice, a list of deducted Advances is displayed, and on the right part, the amounts which you can deduct (the amounts are stated in the currency of the Invoice) is displayed. In the Change mode, the buttons for deducting Advances are accessible.
Description of Selected Fields:
Deduct Adv. Linked w. Sales Order |
Pressing the buttons will open the options for deducting an Advance to a Sales Order to which the Invoice is linked. |
Deduct Adv. Linked w. Customer |
Pressing the buttons will open the options for deducting an Advance to a Customer. |
Remains to Be Deducted from Adv. to Sales Order |
Amount of the paid Advances to a Sales Order that has not been deducted on an Invoice yet. |
Remains to Be Deducted from Adv. to Customer |
Amount of the paid Advances to a Customer that has not been deducted on an Invoice yet. |
Further description is stated in the Deducting an Advance Received on an Invoice Out chapter.
Account Assignment (3rd page)
The 3rd page, that is visually split into two parts, is used for posting Invoices. In the upper part are the individual items of an Invoice. The deducted Advances are displayed below. The lower part serves for the posting of the document.
Note: Closer description is in The Accounting - Account Assignment and Posting chapter.
Picture: Invoices Out - 3rd Page
Documents (5th Page)
To 5 th page of the invoice out contains an overview of all documents that are linked to this invoice via a superior document (order). You can move between the individual documents by pressing Ctrl and the initial letter of the document simultaneously. It is also possible to display the selected document by pressing the Enter key.
Picture: Invoices Out - 5. page with the open Reserving Cards tab
Payments (6th page)
On 6. page of an Invoice, the user can monitor the matters related to the state of the invoice payment, such as whether the Invoice has been settled in full or only in part, the due date, the delay, the penalty, or the information about the individual payments (the lower part of the screen). This page is displayed only in the Browse mode (it is not accessible in the Change mode or in New document).
Picture: Invoices Out - 6. Page chapter).
Field description:
Paid In Total |
The total amount that has already been paid. |
Paid by Archive |
The amount paid by the documents, which have been already moved to an archive. |
Remaining Amount |
The amount that remains to be paid. |
Due Date |
The due date of an Invoice. |
Number of Maturity Days |
The number of maturity days in which the Invoice should be paid. |
Settled |
The amount that has been paid by banker's orders. |
Total Exch. Difference |
The total amount of an exch. difference expressed in numbers to the Invoice. |
Recalculation |
The Recalculate button recalculates the payments for the Invoice. The recalculation can also be run by using the Ctrl + F3 key combination on the 6th page of an Invoice. If there is an exclamation mark next to the button, the payments on the 6th page are not counted correctly - it is necessary to run the payments recalculation. |
Paid in Full On |
The real date of the Invoice payment. |
Number of Days Delayed |
The delay of payment in days. |
Charges from delay today |
Total charge from delay. |
Late Charges |
Contractual late charges specified in % per each day of the delay. |
Total Late Charges |
The amount of late charges calculated from the entered percentage and the delay days on the date of payment. |
Statutory Interest |
If this field is checked, the interest provided by law will be added to the Invoice. |
Remaining Amount Today |
The amount which remains to be paid on the current date. |
Date of First Discount |
Date of the first discount according to the payment conditions entered on the 1st page of the Invoice. If no payment conditions are defined, this date is identical to the due date. The amount indicated in the field below is an amount to be paid to this date. |
Date of Second Discount |
Date of the second discount according to the payment conditions entered on the 1st page of the Invoice. If no payment conditions are defined, this date is identical to the due date. The amount indicated in the field below is an amount to be paid to this date. |
Discount Applied |
The field serves for marking documents which fulfilled conditions of discount and a discount has already been applied on them. The field cannot be edited by the user. |
Planned Payment Date |
The planned date of payment. The due date is automatically added, taking into account the delay from the customer's card to the date of issue of the document. It is possible to change it. |
Expected Payment Date |
Expected payment date reflected by the current delay from the Customer card. The field cannot be edited. |
Priority |
Used to set the priority for a payment. |
Payment Status |
A payment status that can be used to suspense a payment or completely block it. The payment status can take the values of Allowed, Suspended, or Blocked. You cannot add payments with the Suspended or Blocked payment status to a banker's order. |
Do Not Include To Financial Management |
If this option is checked, the document does not appear in the Financial Management module. |
Note: If a rounding error is defined in the Client Parameters, then if the Amount in the Remaining Amount field (on the 6th page of an Invoice) is less than the entered rounding error, the Invoices are indicated as paid.
The bottom part of the 6th page is divided into 3 tabs:
- Payments,
- Payment Plans,
- Reminders.
In the Payments tab there are displayed individual payments of an Invoice. After pressing the Enter key in the Browse mode on the specific payment, will display 2nd page of a Bank Statement, Cash Voucher, Internal Document, and a Banker's Order, by which the payment has been executed. In the Cash Voucher, the cursor will be positioned on the item that corresponds to the Invoice payment.
In the Payment plans tab, you can insert items in the Change state (turn it on directly on page 6) using the Insert key, which will mark the payment calendar plans. Define a Date, Currency and Amount that you want to pay at each Plan. Created plans are displayed on 2nd page of Payment Calendar at the same time. Simultaneously, if you create items in the upper window of 2nd page of Payment Calendar, the plans will be also displayed on 6th page of Invoice in this tab.
Picture: The form for creating a Plan of the Payment Calendar
In the Reminders tab, individual Reminders that have been issued on an Invoice are displayed. With the Ctrl+Enter keys, you can switch into the Books of Reminders, the light indicator will be positioned on a specific Reminder.
Payment of invoices can be done not only in the Finance module by means of banker's orders, bank statements and cash vouchers, but you can also use the automatic invoice payment directly on invoices out (in). This function can be activated by the following ways:
- The Automatic payment by cash register function can be run on the 6thpage of the Invoice by means of Shift+F2 key combination. After pressing the key combination, the Automatic Payment form is called up and after filling in the form data, the current document will be paid by cash voucher.
- The Automatic payment by internal document function can be run on the 6thpage of the Invoice by means of Shift+F3 key combination. After pressing the key combination, the Automatic Payment form is called up and after filling in the form data, the current document will be paid by internal document.
- Run through the module Menu Form - Bulk actions - Payment by cash register. In this case, it is possible to activate the bulk payment of Invoices either in the table of Invoices (if Invoices are indicated by asterisks), or in the container.
- Run through the module Menu Form - Bulk actions - Payment by internal document. In this case, it is possible to activate the bulk payment of Invoices either in the table of Invoices (if Invoices are indicated by asterisks), or in the container.
Picture: The Automatic Payment form - Shift+F2
Field description:
Cash Register |
Selection of a Cash Register (from theBooks of Cash Register table) from which the payment will be executed. |
Date of Payment |
The date of the payment. |
Amount |
The amount to be paid. Into that field, it is possible to type either the amount in invoiced currency or percentage of partial payment (e.g. to pay 20% of the total invoice amount) If we pay multiple Invoices in bulk by entering the amount (not %), documents with a negative remaining amount are excluded from the payment (they will be shown in the error message). |
Amount - Remaining Amount |
The option for paying the remaining amount (it is used for Invoices that have already been partially paid). That option can be combined with the previous one when it is possible to pay for example only 50% of the remaining amount. |
Round Payment Amount to Whole Units |
This rounds the payment amount to integer units. |
Pay Also Credit Notes |
If an Invoice is issued as a credit note, then it is not possible to pay the Invoice without checking this flag. |
With One Document |
This option is available in automatic payment, which is run on more invoices via bulk action. If you check that option, the selected Invoices will be paid with only one document. Otherwise , a single Cash Voucher will be issued for every Invoice. |
Settle overpayments |
The option to settle unpaid penny balance. If it is checked, the documents' "Pay Off" amount of which is less (or equal) than the rounding error will be paid off. |
Set Exchange Rate of Advance Acc. to Payment |
This option is used for payments of Advances in a foreign currency - it will set an exch. rate according to the Advance payment on the paid Advance (no exchange differences should arise when Advances are paid). |
Note: If the documents are marked with an asterisk, the function pays the documents from the last asterisk. If the documents are in the container, the function pays documents from the first document.
The form of automatic payment by an internal document is similar, and you can also set the Document Currency (i.e. the currency of the internal document).
Picture: The form of automatic payment by an internal document
External documents (9th page)
External documents and references to documents may be assigned onto the 9thpage within the K2 IS. Further work description with Documents is stated in the chapter Basic Code Lists and Supporting Modules K2 – 9th Page.)
Functions of the Invoices Out Module Menu
Bulk actions can be run on the records marked with asterisks or on the records in container.
Picture: Functions of the Invoices Out module menu
Description of actions:
Payment Recalculations |
The function for mass recalculation of Invoice Out payments. |
Payment by Cash Register |
This performs an automatic payment of Invoices by the Cash Register. Closer description is in the chap. Invoice Payment - Automatic Payment by Cash Register and Internal Document. |
Payment by Internal Document
|
This performs an automatic payment of Invoices by internal document. Closer description is in the chap. chap. Invoice Payment - Automatic Payment by Cash Register and Internal Document. In this context, the Not Paid Off and Overpaid Documents filter is set. After activating this filter, enter the accounting trans. date, from which you want to select the documents, and the range of the Remaining Amount field (e.g. from -1 to 1). The created filter will contain the 'not paid off' or 'overpaid' documents, which can be paid by an internal document in bulk after marking them with an asterisk. |
Change Acc. Trans. Date and Invoice Date |
The function enables to change the following data in unconfirmed invoices:
DPH and Gross amounts will be recalculated after changing VAT rate. If there is an unconfirmed Order Confirmation or a Delivery Note on an item, the amounts on these documents will also be changed. |
Change Type of Tax |
The function for bulk change of the tax type. The change will be reflected in the document header and in the Tax Summary. |
Change Intrastat Data |
It executes the change of records relate to Intrastat (see the Intrastat tab on the 1st page of Invoice out). The user, who wants to make the bulk change, has to have the right Change intrastat documents or the right Bulk change of invoices. |
Picture: The form for changing the Intrastat records
Field description:
Also For Confirmed Documents |
Changes will be made to the confirmed documents too. Note: If the field is not checked and the change of records is to be done on the documents that contain the confirmed document, an error message warning us about the confirmed document will show. |
Delete from Container |
After the changes are made, the container is emptied. |
Border Crossing Date |
The value that is inserted into the Border crossing date field in an invoice. |
Delivery Terms |
The value that is inserted into the Delivery Terms field in an Invoice. |
Transaction |
The value that is inserted into the Transaction field in an Invoice. |
Country of Destin./Dispatch |
The value that is inserted into the Country of Destin. field (if the bulk change has been run on the Invoice Out). The value that is inserted into the Country of dispatch field (in the case, that the bulk change has been run on the Invoice In). |
Do Not Include into Intrastat |
Yes - the flag in the Do Not include into Intrastat field on the Invoice will be checked; No - the field will not be checked. |
Low Value Consignment |
Yes - the flag in the Low Value Consignment field on the Invoice will be checked; No - the field will not be checked. |
Credit Note in Receipt / Dispatch |
Yes - the flag in the Credit note in dispatch field is checked (in the case, that the bulk change has been run on the invoice out). Yes - the flag in the Credit Note in Receipt field is checked (if the bulk change has been run on the Invoice In). |
Description of Other Actions:
Revaluation to the Date of Balance |
This revalues Invoices on the date of balance by an internal document. Closer description is provided in the Accounting - Revaluation to the Date of Balance. |
Cancel Revaluation to the Date of Balance |
It cancels the revaluation to the date of balance. Closer description is provided in the Accounting - Revaluation to the Date of Balance. |
Functions over Invoices Out
Description of functions:
Alt+F6 |
Transfer payments by the cash register (the book and Browse mode). |
Ctrl+F3 |
On the 6th page in Browse mode, this key combination runs the recalculation of the payments to the invoice. |
Ctrl+F6 |
Transfer payments by the cash register (the book and Browse mode). |
Shift+F2 |
It activates the form to change invoice date (in the book and on the 1st page in Browse mode). It is executable on credit notes only. 6. page in On the 6th page in Browse mode, it activates the function for the automatic invoice payment by the cash register. |
Shift+F3 |
6. On the 6th page in Browse mode, it activates the function for the automatic invoice payment by internal document. |
Shift+F5 |
It opens the form for reminder creation in the book. |
Ctrl+Shift+Alt+F5 |
On the 6th page in Browse mode, it calls the form Change payment by archive. |
Ctrl+Shift+F8 |
It opens the form to create a new Service Sheet on the 2nd page in Browse mode. It is necessary to set up the Complaint / Services module for this functionality. |
F5 |
If you press the key on 6th page of an invoice, the document will be switched to the Change mode. It is possible to insert payment plans in Change mode. The key works on a confirmed document as well as an unconfirmed document. |
Ctrl+Alt+F5 |
The function enables to choose the document Status. |
Cancel Invoices (F8)
If an Invoice has already been saved (the number has been assigned to it), it cannot be deleted by any procedure. You can cancel it by pressing the F8 key. A cancelled Invoice remains in the database with the same data, only the flag of cancellation has been assigned to it. It is thus always possible to find out the amount for which it has been issued, and its content. A cancelled Invoice cannot be changed any more, just like in the case of confirmation. By pressing the F8 key again, an authorized person can undo the cancellation of the Invoice. The procedure is the same as when you undo the confirmation.
If a document with allocated incidental costs is cancelled, these incidental costs are automatically deleted. This means that such a document cannot be cancelled if the user does not have the right to allocate incidental costs or the incidental costs are allocated into the item of a Receipt Card, which is in the blocked period.
If an Invoice has been created by mistake and it is not desirable for the it to behave as a cancelled Invoice in the table of Invoices, it is possible to link it to another Order Confirmation by using Matching - Alt+F5, and use the created number for an other Invoice.
Transfer of Invoice Payments Alt+F6 (Ctrl+F6)
The Transfer of Invoice Payments enables the user to transfer the payments from one Invoice to another. The transfer will be processed by a Cash Voucher.
This function can be activated in theBrowse mode by pressing Alt+F6 (Ctrl+F6). The Transfer Invoice Payments form will be displayed.
Picture: The Transfer of Invoice Payments - Alt+F6 (Ctrl+F6) form
Field description:
Settled Invoice |
The book, number, and the business year of the current Invoice (the Invoice that the payment is transferred to). |
Remaining Amount |
The remaining amount that is to be paid on the current Invoice. It is only displayed on the form. |
Transfer From Invoice |
The field for the invoice selection that the transfer of payment is to be executed from. |
Remaining Amount |
The remaining amount that is to be paid on the current invoice. It is only displayed on the form. |
Amount |
The invoice amount that is to be transferred between the invoices. The Amount, which paid this Invoice, is set by default (the amount that is entered in the To pay field). |
Date of Payment |
The date of the payment. |
Cash Register |
Selection of a Cash Register (from the table ofBooks of Cash Register) by which the payment is to be executed. |
After the transfer is finished, a Cash Voucher will be created (inthe Cash Register that was selected in the form), where two items are created with the same amounts but opposite signs. This Cash Voucher is confirmed automatically if the Confirm Automatically field is checked on the 2nd page in the definition of Cash Registers.
The rounding of domestic Invoices depends on the Payment Method
For Invoices Out It is possible to set the rounding which depends on the Payment Methodin the domestic currency. Rounding is set in The code list Payment Method displayed in the View over Invoice out status. In the Constant field, enter the value to be added or subtracted to the rounded number before rounding itself (allows rounding up or down). The value that is to be rounded can be entered into the Order field.
Picture: The Setting of Rounding in Payment Method form
If you set the rounding by the picture, the rounding will be for integer units.
The rounding is processed upon creating an Invoice Out, where the payment method is set, or upon changing the payment method, where it must be a domestic Invoice (the option Currency is not checked), where the Adjusted option is not checked (in the Tax Summary folder). If the Do Not Allocate the Rounding field is off, the rounding difference will be allocated into the Net values and one VAT rate. (This concerns the invoices with the Acc. Trans. Date higher than or equal to the 2019 VAT Legislative - New Method of Calculation From in the Client Parameters. In the case of Invoices with an older date, the rounding difference will always be allocated.)
The Do Not Allocate The Rounding field should always be activated on those payment methods that have the rounding set to integer units and that represent a payment in cash.
Depending on the method of payment, the document is rounded only if its currency is the same as the currency in the client's parameters.
Credit Notes
This function ensures that credit notes are created to the invoice items and to advances and their mutual interconnections The solution is based on the new invoice being created to the original invoice, or rather to their items. The new invoice (credit note) should contain one or two items depending on whether it deals with amount or price corrections. The function also enables to create the credit notes to more invoices all at once, or just stock documents.
You can create a credit note to an Advance that has been already paid and has not been deducted. A new Advance will be created to an original Advance (a Credit Note) with the negative value (in the case of Advance it always deals with the price correction).
The function for credit note processing is possible to be run over the particular Invoice Out, Advance Received, Invoice In or Advances Provided If you run the function from the page 0, it is necessary to mark those records which you want to work with with the stars ,or you need to insert the invoices into the container. Function can be run by the script Credit Notes, which you can run from the tree menu Finance - Credit Notes.
Correction of Price
Example: A Sales Order is created for articles of the value of 377,59 EUR without VAT. The Invoice has been issued on the items of this Sales Order, and the Articles have been physically delivered from the warehouse (a Release Note has been created). One of invoice items is on the 10pcs of "Metaxa" Article for 400 GBP Net price (480GBP VAT included). The customer requests a discount for 5 pieces of these defective articles. New price of this article is 200 GBP. It is also necessary to create a Credit Note for 5pcs of the "Metaxa" article.
In the form for creating a corrective tax document, select the articles and use the arrow keys to move the item to the bottom window. Correct the price, because it is necessary to edit not only the Quantity column, but also one of the Net price, Gross price, Total Net price, Total Gross price columns. Determine a new price of the article in these columns.
Picture: The Credit Notes - correcting price
New price is defined for 7,52 EUR/unit without VAT, so it is necessary to fill in the
Net price column. Fill in the number of pieces of the suitable article into the Quantity column. "C" (correcting the price) letter is automatically inserted into the Type columnThe script creates an invoice (corrective tax document), which has one negative item with the original price (-5 pcs x CZK 400) and one positive item with a new price (5 pcs x CZK 200). Both of these items are inserted into the original Sales Order and they decrease its value this way In case Of price correction, the articles are not returned physically, therefore the Release Note is not created.
Picture: Sales Order - correcting price
In case you want to create 100% price credit note, just change Type to "C" and let the price Null. In case you want to enter discount instead of new price, set the parameter
Enter Rabate to "Yes"before you run the Corrective tax doc. function.If you want to discount the articles by some percentage, enter the percentage discount into the initial form and press the button
Discount - the Net price in items selected in the Credit Note window will be recalculated.Create Credit Notes in bulk
If you want to create a Credit Note to more Invoices at once, the Invoices must meet the following conditions:
- they have been issued to the same company,
- they have set the identical type of tax in header,
- they have set the Currency checkbox identically, and if the Currency checkbox is checked on all Invoices, it must be an identical currency,
- if the CreateNewCommission parameter is set to "No", all the Invoices must be issued in an identical book,
- if the Invoices are not issued in an identical book, the Allow Multi-docs/Allow Adding Superior Document From Other Book client parameter must be set to "Yes".
If the Invoices do not meet some of the conditions mentioned above, the function shows you the reason why it is not possible to run it and it will end itself. If the Invoices meet all of the mentioned conditions, the initial form of the function for creating a Credit Note will appear, in which you indicate the quantity or the price that you want to credit. How to indicate the quantity is mentioned above.
Picture The Credit Note form
If you confirm the form, a new Invoice is created. When creating Credit Notes in bulk to more Invoices at once, the fields that have been taken into the Credit Note from the original Invoice will be taken as follows:
- if the Invoices indicated with asterisks are processed, and the light indicator has been positioned on an other (not indicated) Invoice when activating the script, the header data will be taken from the first indicated Invoice. Otherwise, the header data will be taken from a record on which the light indicator has been positioned when activating the script,
- if a Credit Note is created in a foreign currency to one Invoice, the exchange rate will be entered from the original Invoice (the same as before). If a Credit Note is created to more Invoices, the exchange rate will be entered into the Credit Note from an Exchange list that has been valid to the 1st of January of the current year - foreign exchange centre (if there is not an exchange rate to the 1st of January in the Exchange list, the nearest preceding one is taken).
The Invoice from which the fields are taken for the new Invoice is stated in the header of the form in the 'Invoice' field. A supplement of the "VS" type is inserted into the item of a newly created document. One supplement is created for each original Invoice, from which a Credit Note is created. A reference number of an original Invoice is inserted into the description, and the number of the original invoice in the Book/BusinessYear/Number format is saved into a long text. It is possible to set what will be printed by the ShowFormerInvoice parameter in the Invoice Out print report (VF_DOK01.AM).
A newly created Invoice is linked with all Invoices from whose items the Credit Note has been issued through the 9th page.
Create Stock Documents Only
By means of the Credit Notes function (FA_DOB.pas), it is also possible to create only the stock documents. In connection with that, the CreateInvoice parameter (create Invoices) has been created. This parameter enables to suppress the creation of new Invoices. If the CreateInvoice parameter is set to "No", you can check the Display Report checkbox in the initial form. Otherwise, it works the same way.
If the CreateInvoice parameter is set to "No", only stock documents will be created. The reference to the original Invoices is inserted on the 9th page of the stock documents (the same as on an Invoice - Credit Note). The references to the already created stock documents are inserted on the 9th page of the original Invoices (Relation type = "Credit Note").
If you want to create the Invoices later, you can use the Sale Items (Purchase Items) standard K2 tool. Here you can select the "Unbilled Credited Items" pre-defined filter that displays the items of the Sales Orders, to which an already credited and confirmed Release Note is existing, and which have not been invoiced yet (an Invoice does not exist).
Picture: A list of pre-defined filters
After you run the selected filter, a form where you can select a customer for whom you want to create the Credited Invoice from a Release Note is displayed.
Picture: The form for selection the Customer in the "Unbilled credited items" filter
A list of all credited items of the Sales Order is displayed. It is for a selected customer, to whom a confirmed Release Note exists and no Invoice exists.
Picture: List of all credited items for a selected customer
After that, just indicate with asterisks the items to which you want to create an Invoice - Credit Note, then press the F5 key (Create Documents), and check that you want to create an Invoice in the form. It is also suitable to check the option to Create Documents Container, so to avoid searching for the Invoice, and press the OK button.
Picture: Create Invoices from Sale Items
In the Book of Invoices Out, just activate the filter where the credited Invoice is created. It is necessary to check the Credit Note flag in the Invoice and confirm and print the Invoice.
Posting
Correction of Price
Invoice Out |
311/604 311/343 |
10pcs x ?€189,89 |
50 000,- 10 000,- |
Invoice Out (Credit Note) |
311/604 311/343 |
-5pcs x ?€189,89 |
-25 000,- -?€189,89 |
|
311/604 311/343 |
5pcs x ?€75,96 |
10 000,- ?€?75,98 |
Correction of Quantity
Invoice In |
111/321 343/321 |
10pcs x ?€189,89 |
50 000,- 10 000,- |
Invoice In (Credit Note) |
111/321 343/321 |
-5pcs x ?€189,89 |
-25 000,- -?€189,89 |
Credit Notes in Preview Pane
We can display Credit Notes in the preview pane on pages 0 and 2 of Invoices. If a Credit Note is created to an Invoice, it will appear in the Invoice preview panel.
Picture: The Credit Notes Preview Panel
In the preview panel, the item of a newly created Credit Note is displayed. There is the letter M in the Type column. This means that the Note has been created with the correction of quantity. Double clicking the reference in the preview pane in the Invoice - Credit Note column will show the details of the Invoice (Credit Note), and the light indicator will be set on the particular item of this document.appear in the Invoice preview panel In the The detail of a created stock document maybe displayed by double clicking the record in the Release Note/Receipt Card column.
If you cannot see the preview pane, check whether you have the Display Preview Pane parameter activated.
If we have the parameter for displaying the preview pane active and the pane still does not show, it is necessary to set the scripts:
In the invoice out book, in Main menu in Tab Display we will open Preview definition. The Preview Reports and Forms window will appear. Press the Insert key for inserting a new record - the Reports book will open. Close the window. The 1st page in the window for a newly inserted report will appear. In its upper part, click on the yellow folder for opening files. In the database system, select the script called "FA_ItemConn_Form_Page0.PAS" and set on these parameters:
- Preview_PageNames with Value „STRANA0",
- Preview_GridName with Value „FGRID0".
In order to display the preview pane also on the second page, include the "FA_ItemConn_Form_Page2" script into the preview wth the Parameters:
- Preview_PageNames with Value „STRANA2",
- Preview_GridName with Value „FGRID21".
This procedure must be repeated again everywhere we wish to have the Credit Notes preview pane displayed, i.e. also in Invoices Out and Invoices In.
For Advances received and and Advances provided, the script "FA_ItemConn_Form_Page0.PAS" is used for the zero and the other side. Setting the page 0 is the same as with Invoices Out. To display the preview pane on the 2. Nd page of an Advance, we must set the following parameters:
- Preview_PageNames with Value „STRANA2",
- Preview_GridName with Value „FGRID0".
Reports - Invoices Out
Invoice Out
Process No.: EXP009 |
Report ID: SZAK009 |
File: VF_DOK01: |
Report description: Invoice Out |
||
Address in the tree: [Sale/Processing of Purchase Orders] [Invoices Out] [Print Reports - Lists] |
Report parameters:
Assignment - No Yes - displays booking of documents (data from the 3rd page of the document). |
BankContacts - 3 0 - the information about the bank connection will not be displayed; 1 - the information will be just in Header 2 - only in Section over items; 3 - the information about the bank connection will be displayed both in the header and in the part over the items; 4 - 6 values meet the 1 - 3 values; just instead of the bank abbr., the name of bank will be displayed. |
BarCode - Yes Yes - a bar code is displayed. |
Batch - No Yes - batches for an item are displayed. |
BatchAttr - 1 0 - nothing is displayed; 1 - batch parameters are displayed; 2 - required batch parameters are displayed. |
BusinessRegister - 1 Information about the Business register fromthe Administration of own companies is displayed. Own comapanies settings 0 – does not display information about the Business register, 1 – displays text about Business register of maximum two rows, 2 – displays text about Business register of maximum four rows. |
CataloguePrice - Yes Yes - catalogue prices for items are displayed. |
CodeAndCentre - 0 The cost centre and the code are displayed according to the setting: value 0 - nowhere, 1 - in the heading, 2 - in items, 3 - in both places. |
CodeOfCurrency - No Yes - a code of currency is displayed (e.g. USD). No - mark of currency is displayed (e.g. $). |
CombineOrigItem - Yes Yes - combines the items with the same "OrigItemF" (if it is not different in price and the other attributes). |
Contacts - 1;Addr;TaxNum;Tel1;Fax1;Email1;WWW Number of days by which the confirmation is to be confirmed The parameter has a total of 10 positions, the first three are fixed: 1st: the user whose contacts are printed from the user card (phone, mobile phone, fax, email). Options: 0 - no user contacts, 1 - the user who has issued the doc., 2 - the currently logged-in user who prints the documents. 2nd place: "Addr" - if entered, the company address will be displayed. 3rd place: "TaxNum" - if entered, then ID - No. and VAT Reg.No. will be displayed. 4. - 10th place: named types of electronic addresses of own companies (i.e. there can be up to 7). Example: (Contacts - 1;Addr;;TEL1;FAX1;WWW1): The company address will be displayed. The contacts from the user card of the user who issued the document will be stated below (tax numbers are skipped by an empty string on the 3rd place), then there are electronic addresses with Tel1 type, Fax1, WWW1. Note: If any data is suppressed, there is no free place remaining. Nevertheless, the default order in a report is always as follows: the address, tax numbers, user's contacts and entered electronic addresses of own company. |
DefaultExport - No It is described along with other export parameters in the Report parameters for bulk sending by email chapter. |
Description - No Yes - it displays information from the Description field from the 1st page of the document. |
DescriptionFromItem - Yes Yes - a supplement that is entered into the Description field on a document item is displayed. |
Discount - Yes Yes - a discount entered on item is displayed. |
DraftLabel -Yes Yes - a "DRAFT" is displayed at the background of the report if a document is not confirmed. No - a "DRAFT" is not displayed. |
EUCertificationDays - 10 Number of days by which the confirmation should be returned. |
EUCertificationDeliveryTerms - EXW;FCA Delivery conditions for which the Confirmation of delivery of article to the EU is printed. |
EUCertificationTyxTypex - PM;PO;VA;VE Tax Type for which the Confirmation of delivery of article to the EU is printed. |
ExemptSupplies - Yes Yes - display rows Of tax Summary No - lines of a tax summary are not displayed for invoices where a VAT flag is not checked. It is used for invoices that are sent abroad. |
Export_... - various parameters The report also includes export parameters described collectively for all documents in Report parameters for bulk sending by email chapter. |
FormerInvoice - 1 Displays the reference to the original invoice in the form: 0 - variable symbol , 1 - number, 2 – number and reference number during the printing of an invoice as a Credit note. |
Interactive - No No - an input form to enter parameter values is displayed. |
ISDOC_AccountsBetweenPartners - Methods of payments in the K2 for a payment of billing among partners (separated by semicolon). |
ISDOC_CurrentCompany - 0 Identification (company number) in customers. |
ISDOC_DeliveryNoteType - 1 Which reference from an invoice item to export: 1 - a Delivery Note; 2 - a Release Note. |
ISDOC_DocSupplementType - ALL A document type which is going to be exported. |
ISDOC_NonTaxedType - N An abbreviation of a tax type in the K2 for a type "Do not assign into the Returns". |
ISDOC_Path - C:\ A path for a file export. |
ISDOC_PaymentsByCreditCard - Methods of payments in the K2 for a payment by credit card (separated by semicolon). |
ISDOC_PaymentsByCheck - Methods of payments in the K2 for a payment by check (separated by semicolon). |
ISDOC_PaymentsInCash - Methods of payments in the K2 for a payment in cash (separated by semicolon). |
ISDOC_SaleRefNo - No Yes - the reference number of an Invoice will be completed into the register number in ISDOC. No - the document number will be filled in |
ISDOC_SuppressPicture - Yes No - a bitmap is not displayed in the heading for ISDOC. |
ISDOC_TransferToAccount - Methods of payments in the K2 for a payment by transfer (separated by semicolon). |
Items - Yes No - all items of document are hidden. A user can print his/her own text that is defined e.g. ina supplement of the customer instead of items. Tax summary is not affected by this parameter. |
JCKindItem - A list of kinds that are printed in a tree of Job Cards (you have to separate more kinds by a semicolon). |
JCTreeLevel - 1 0 - all the levels of Job Cards are displayed for items, 1 - without job cards 2,3,4... - number of levels. |
K2Info - Yes Yes - displays informative text about the document issued by the K2 system. |
KeepEnvelopeFormat - No No - the empty place is hidden under the place for the envelope window. The saved place is multiplied if the "ShowBarCode" parameter is set on "No". This is useful when the user does not use the envelope window and does not want to fold the printed documents into envelopes by the line on the document. Yes - the place is not hidden - lines between items and the address part will be always in a one-third of a page. |
LangAccordToParams - No If the report is printed in the language that is set in the "Field language" and "Report language" parameters, then you have to set the value of the parameter to "Yes". |
LeftEnvelopeWindow - No Yes - the customer address is printed on the right side (intended for sending documents by mail in abroad, where the window for the envelope is onthe left side); No - the customer address is on the left side. |
LeftShift - 5 By how many mm the edge of the report is shifted to the left (used for setting up printing on the printer). |
LogoPictureFooter - 0 The parameter corrects the footer logo. If the parameter is empty, the footer logo is displayed according to the parameter settings Picture in Footer in the function Administrator - Administration of Own Companies. 0 - nothing is displayed, but there is a free place (for a header paper), 1 - neither picture nor free place. File name with png suffix - particular picture in Pictures directory of a particular company. |
LogoPictureHeader - The parameter corrects the header logo. If the parameter is empty, the header logo is displayed according to the parameter settings Picture in headerin the functionAdministrator - System - Administration of own companies. 0 - nothing is displayed, but there is a free place (for a header paper), 1 - neither picture nor free place. The condition is to set the parameter KeepEnvelopeFormat on No. File name with png suffix - a specific picture in Pictures directory of the given company. Pictures directory of a particular company. |
LoyaltyProgramOverview - Yes Yes - displays the status of customer loyalty programs. |
Notes - Enter the comment type from the document header which is to be displayed in the report into the parameter. To display more comment types, it is necessary to separate the individual types by using the semicolon (e.g. MAIL;CMR). If more comments of the same type are found, all of them are displayed. |
NumberOfDocOnItem - 1 0 - nothing is displayed, 1 - a Release Note number is displayed for an item, 2 - a Delivery Note number is displayed for an item. |
NumberOfItem - 1 0 - no number is displayed, 1 - number of a sales order item is displayed; 2 - order number is displayed. Always in the "#001" format. |
NumberOfOrders - 0 0 - the order number appears only in the header, 1 - the order number is both in the header and in the items, 2 - the order number appears only on the item, 3 - the order number is displayed in the header and only on the items linked from another sales order. |
OneLineItem - No Yes - document item is always displayed on the 1st line. |
OwnCurrency - 0 0 - information about recalculation of a tax recapitulation is not displayed, 1- only the exchange rate is displayed, 2 - a tax recapitulation that is recalculated into a company currency is displayed, 3 - a recalculation of a tax recapitulation and the exchange rate of a recalculation are displayed. If the tax summary is not in a different currency than the currency of the company, neither a recalculation nor an exchange rate is displayed regardless of the value of the parameter. |
Payment - 0 0 - no added printing, 1 - 'Deffered payments' line is displayed under the Tax summary, 2 - 'Suspensions' line is displayed under a Tax summary, 3 - 'Paid' text is displayed. |
PaymentInfo - No Yes - payment document numbers and amounts are displayed; for payments subject to electronic record of sales, all data related to ERS (Electronic records of Sales) are displayed. |
ProportionalFont - Yes Yes - displays the supplements by the Verdana font, No - CourierNew type of font. |
QRBankOrder - Yes Yes - QR code is displayed. The code contains these values: account number, amount, currency, reference number, constant symbol, maturity date, message for a recipient. If some of the values are missing, it will not be inserted into the code. |
RefNoAsInvoiceNo - 01/01/2999 If the Invoice date is higher than or equals the value in the parameter (if the Invoice date is null), then the Ref. No. will be displayed instead of Doc. No. next to the field of Registration No. in the report. |
SerialNumber - No Yes - serial numbers for items are displayed. |
Sign - @Vyst;;; The parameter has five places: 1st one marks the person, whose signature will be displayed. It can be the picture named by the user's Logname, who has issued the doc (@Vyst) or who has printed it - or according to the current login (@akt) or particular Logname.
The value entered in the Stamp field in Administration of Own Companies is used by default. The path and the name of the file is entered here. The path may be entered by using the alias. Instead of entering the specific file name, it is possible to use %s. The picture must always be in the xxx.png format. If it is not filled in the Administration of Own Companies, the file will be searched in the Picturesdirectory.
An example of entered task in the Stampfield in Administration of Own Companies: via alias: k2*DEMO\Pictures\stamp.png (searches the picture in the Client's path. File stamp.png in The picture directory) via %s: k2*DEMO\Razitka\%s.png (the value entered this way enables to display signed bitmaps to all users who issue documents or are currently logged in and have the file in the PNG format in the directory (in this case the user created Stamp directory).
2nd: height of picture. 3rd: distance from the left corner. 4th: distance of picture from the upper corner of the given section. 5th: width of picture. Example: (Sign - @vyst;27;47;0;83) prints the signature of the user who has issued the document, height is 27 points, left indentation of 47 points, by the upper corner. The picture is 83 points wide.
If the parameter is set to 0, the stamp will not appear. |
SortBy - The field is filled with the value of the field from the sales items (e.g. C_Zbo;Zkr or CF_CeJePlM). Items on a document are sorted according to the parameter value. The parameter is empty by default. If the value of this parameter is specified, then the items are not combined, even if the CombineOrigItem parameter is set to Yes. If it is a credit note (the Credit Note checkbox on the 1st page of IO is checked), then the invoice items are grouped according to the number of the original Invoice (or according to their reference number). The SortBy parameter then sorts these items according to the parameter value for items within grouping only. |
StateOfOrigin - No Yes - a code of tariff and a country of origin are displayed for the items. If it is filled on a batch, the information from the batch are displayed; otherwise the data from the Article card are displayed. |
SupplFromArticles - 0 - Nothing is displayed, Empty value - a Business Text from an Article card is displayed. If the parameter is filled in, and if there is an existing comment type on the Article card that is identical to the parameter value, the text of this comment is displayed. If the given comment type does not exist, the entered type of supplement from the notes on the Article card will be displayed (e.g. the DB type). If both comment and supplement type are identical, the comment has priority over the supplement. |
SupplFromCustomer - DZ 0 - Nothing is displayed, Empty value - a Business Text from a Customer card is displayed. If the parameter is filled in, and if there is an existing comment type on the Customer card that is identical to the parameter value, the text of this comment is displayed. If the given comment type does not exist, the entered type of supplement from the notes on the Customer (e.g. the DZ type). If both comment and supplement type are identical, the comment has priority over the supplement. |
SupplFromItem - 0 - Nothing is displayed, Empty value - displays the entered text from the Text tab from the document item. If the parameter is filled in, and if there is an existing comment type on the document item that is identical to the parameter value, the text of this comment is displayed. If the given comment type does not exist, the entered type of supplement from the notes on the document item will be displayed (e.g. the TX type). If both comment and supplement type are identical, the comment has priority over the supplement. |
SupplFromMandant - TEXT The TEXT value displays the information from the General information from own company field. Otherwise it displays the entered supplement type from the Client parameters. |
TaxCreditNoteConfirmation - No Yes - a confirmation of receipt of a Credit Note will be displayed. |
Title - The entered value of the parameter is displayed as a title of the report. If the parameter is empty, an original name of a document is printed (e.g. Invoice). |
TotalAmount - No Yes - information about the total amount is displayed. |
TotalItems - No Yes - information about the total number of items is displayed. |
Warranty - No Yes - the number of months of warranty from an item is displayed. If there is the value '999' entered on an item, the text "Lifetime" is displayed. |
Weight - No Yes - the weight of individual items and the total weight of a "document" are displayed. |