Other Receivables
Other Receivables are intended for the recording of receivables which do not result from invoicing. These are e.g. the receivables to a tax office (e.g. for the excessive VAT deduction, annual income tax overpayment), repayments, suspensions, etc.
Books of Other Receivables
Other receivables are recorded in the Books of Other Receivables.
Picture: The Book of Other Receivables book
A detailed description of work with the books and the principle of settings is stated in Administration / System / Administration of Books.
Default Settings
Picture: Administration of Books - Default Settings - Books of Other Receivables
Field description:
Type of Tax |
Tax type of an other receivable - selection from the Type of Tax table. |
Posting Key |
A document posting key - selection from the Posting Keys table. |
Account |
Doc. Account - selection from the Chart of Accounts table. |
Constant Symbol |
A constant symbol of a document. |
Invoice Date |
Sets the Invoice Date upon doc. issuing, updates the Invoice Date upon changing the Account. Trans. Date. |
Matching Symbol |
Can be combined from fixed entered signs or with variable parameters. |
Cost Centre |
This cost centre is pre-filled into a newly created doc. |
Post Unsettled Balance |
Enables to post the document, in which a difference between the total amount on the document and the posted amount occurs. |
VAT Reg. No. of Own Company |
VAT Reg. No. entered in this field automatically appears on the own company details on the reports, which are printed on documents from this book. The field is to be filled in only if we have the VAT reg. No. registration in another country, and in this book we will issue the documents belonging to the VAT declaration of that other state. |
Variable Symbol |
You can pre-set the variable symbols which will be inserted into documents. Variable symbols can be combined from fixed entered signs or with variable parameters "@". A description of parameters may be found in the Settings of Books of Sale / Books of Sale chapter. |
Other Receivables Card
Other Receivables are run from the Sale - Other Receivables - Other Receivables tree menu.
Picture: The Book of Other Receivables
Other Receivable Document
Basic Data (1st page)
The first page of Other Receivables displays the identification and basic data, and some other information such as the payment method, date of issue, maturity date etc.
Picture: Other Receivable - 1st page
Field description:
Document Number |
The book, business yearn, and the number of an Other Receivable. |
Addresses |
The button to display an addressee or the superior company. For further information, see the Addressee chapter. |
Document |
A document (Invoice Out, Internal document...), which is added to an external document. Select the type of document and the appropriate book will be offered by means of the Document button. |
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 the Suppl./Cust. book. |
Currency |
The flag displays that the advance is issued in a foreign currency. |
VAT |
If the field is checked, it deals with a Tax Document. |
Gross, Net, VAT |
The amounts in document currency. If the doc. is in a foreign currency, the amounts in the Client's currency will be displayed as well. |
It is possible to assign random types and kinds of notes to Other Receivables, eventually you can use the Header Text or the Footer Text. A closer description of work with the notes is stated in the Basic Code Lists and Supporting K2 Modules - Comments chapter. There are also the Tasks and Activities tabs. A closer description of work with the folders is stated in the Tasks - Document Folder and the Activities - Document Folder chapters.
The 1st page of the document is divided into several folders:
- Data - contains basic information about the doc.,
- Items of VAT documents - displays items of the VAT documents, where the Other Receivable is stated,
- Internal documents - displays internal documents, where the Other Receivable is stated in the header of the internal doc. In the Document field.
The Basic Data folder contains basic information about the document.
Field description:
Cost Centre, Contract Code, Device, Article Code, Code 1, Code 2, Officer |
The data used to sort the company's activities. Further description is stated in the Basic Code Lists and Supporting K2 Modules chapter. |
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. |
Type of Tax |
Classifies the line in VAT return. |
Exchange List |
This button opens the preview of exchange list of the given currency and sets the cursor on the rate valid to the date. |
Payment Method |
The method of Invoice payment. |
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. |
Accounting transaction date |
Acc. trans. date enters the Accounting. |
Matching Symbol |
Matching Symbol for acc. documents (see the chapter Accounting - Matching symbols). |
Posting Key |
By selecting a posting key, we will determine how the document will be posted. It is added from theBooks of other receivables. |
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. |
Invoice Date |
The Invoice date enters the VAT Return. If the Invoice date is null, the document does not enter the VAT Return. |
Variable Symbol |
The field for Reference number of doc. It can be created by the settings in the Books of other receivables automatically. The program notifies you of any eventual duplicities of variable symbols. |
Account |
Doc. account. The field is filled with the account by the settings in the Books of other receivables automatically. |
No. of Mat. Days |
The number of maturity days. |
Constant Symbol |
A Constant Symbol that is completed by the selection from the menu. |
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. If the Statutory interest is checked, the late charges will be added from the Statutory interest code list. |
Statutory Interest |
A check mark that determines whether the Late charges will be calculated by the contract or by law. |
External Number |
External number (text of 60signs). |
Control Statement Date |
The date of the Control Statement. It is necessary to be filled only if it differs from the Invoice Date. |
Date of Issue |
The date of doc. issue. |
Due Date |
The due date of the document. 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. |
Description |
Here, it is possible to insert a description manually or by selecting it from the selection menu. |
Issued By |
The name of the employee who has issued the document. |
Changed By |
The date and the name of the employee who made the last change to the document. |
Items (2nd Page)
Other receivable items can be inserted on the 2nd page.
Picture: Other receivable - 2nd page - items
Picture: Other receivable - form item
Field description:
VAT Rate |
VAT Rate items. Choose from the Taxescode list. |
Type of Tax |
Tax type items. It is selected from the Tax Type code list. |
Gross, Net, VAT |
The amounts in document currency. VAT amount cannot be edited. If the doc. is in a foreign currency, the amounts in the Client's currency will be displayed as well. |
Description |
Description of an item. You can select from the Cards of other receivables code list or enter any text without links for a code list. |
Account |
The Selection from the Chart of accounts code list. |
Cost Centre |
Selection from the Cost Centres code list. |
Contract Code |
Selection from the Contract Codes code list. |
Code 1 |
Selection from the Code 1 code list. |
Code 2 |
Selection from the Code 2 code list. |
Officer |
Selection from the Officer code list. |
Article Code |
Selection from the Article Codes code list. |
Matching Symbol |
Selection from the Matching Symbol code list. |
Device |
Selection from the Device code list. |
Assignment (3rd page)
The 2nd page, that is visually split into two parts, is used for posting of Other Receivables. In the upper part of the document are the document's individual items. The lower part serves for posting of the document.
Note: A closer description of posting and account assignment is stated in the Accounting - Account Assignment and Settlement chapter.
Picture: Other Receivable - 3rd page
Payments (6th page)
It is possible to monitor the facts related to status of payment on the 6th page of the document - whether the document is paid in full or partially, whether it is in Due date, Delay, Penalty, or you can monitor the information about specific payments (in the lower part of the 6th page). This page is displayed only in the Browse mode (it is not accessible in the Change mode or in New document).
Picture: Other Receivable - 6th page
External Documents (9th page)
It is possible to add external documents and assign references to the documents within the K2 IS on the 9th page of Other Receivables. Further description of work with external documents is stated in the chapter Basic Code Lists and Supporting K2 Modules – 9th Page.
Card of Other Receivables
The Card of Other Receivables code list can be used on the items of Other Receivables. The data from the card are copied into the document item.
Picture: Card of Other Receivables - Book
Basic Data (1st page)
The 1st page records the data.
Picture: Card of Other Receivable - 1st page
Field description:
Abbreviation |
The abbreviation of the card of Other Receivable. |
Number |
The internal number of the card. |
Name |
The name of the card of Other Receivable. |
VAT Rate |
VAT Rate. |
Type of Tax |
The type of the tax. |
Account |
The account of an item. |
Cost Centre |
Selection from the Cost Centres code list. |
Contract Code |
Selection from the Contract Codes code list. |
Code 1 |
Selection from the Code 1 code list. |
Code 2 |
Selection from the Code 2 code list. |
Officer |
Selection from the Officer code list. |
Article Code |
Selection from the Article Codes code list. |
Matching Symbol |
Selection from the Matching Symbol code list. |
Device |
Selection from the Device code list. |
External Documents (9th page)
It is possible to add external documents and assign references to the documents within the K2 IS on the 9th page of the Other Receivables. Further description of work with external documents is stated in the chapter Basic Code Lists and Supporting K2 Modules – 9th Page.
Functions of Other Receivables
Bulk actions can be run over the records marked with an asterisk or in a container from the Form - Bulk Actions.
Description of actions:
Payment Recalculations |
The function for the bulk recalculation of Other Receivables payments. |
Payment by Cash Register |
Pays the document by cash register automatically. Further description is provided in the Invoice Payment - Automatic Payment by Cash Register and Internal Document chapter. |
Payment by Internal Document |
The payment is done via an internal document automatically. Further description is provided in the Invoice Payment - Automatic Payment by Cash Register and Internal Document chapter. |
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. |
Change Acc. Trans. Date and Invoice Date |
The function enables to change the Acc. Trans. Date and the Invoice Date on unconfirmed documents. |
Functions over Other Receivables
Function description:
Ctrl+F3 |
This key combination activates the recalculation of payments on the 6th page in the Browse mode. |
Shift+F2 |
This key combination runs the function for automatic payment by cash register on the 6th page in the Browsemode. |
Shift+F3 |
This key combination runs the function for automatic payment by internal document on the 6th page in the Browse mode. |
Shift+F5 |
This opens the form for creating reminders in the book. |
Ctrl+Alt+F5 |
The function enables to choose the document Status. |
Shift+F4 |
Create documents in bulk - repeated Other Receivables. |
Create Repeated Other Receivables
This function is designated for automatic generation of documents by "copying" the current document, when new documents differ from the current one only in the date. It is used e.g. for creating instalments.
After activating the function (Shift+F4), the initial form of the function will appear:
Picture: The form of the Create Other Receivables function
In the initial form:
- specify the frequency of repeating - set the option Daily, Weekly, Monthly or Yearly,
- check and specify the Date To (Acc. Trans. Date to which the documents should be created) or check and specify the Number of New Documents,
- you can check Confirm Documents.
New documents, the Acc. Trans. Date of which will be set according to the selected frequency of repeating, will be created after pressing the OK button. Due Date will be set according to the number of maturity days in the default document.
Reports - Other Receivables
Other Receivable
Process No.: ZAK019 |
Report ID: SZAK163 |
File: Other_Receivable01.AM |
Report description: The report shows the Other receivable doc. |
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Address in the tree: [Sale] [Other receivables] [Print the documents] |
Report parameters:
Assignment - No Yes - displays document posting (data from the 3rd page of the document). |
BankContacts - 1 0 - information about a bank connection is not displayed; 1 - information is displayed only in the header; 2 - only in a part for items; 3 - information about a bank connection is displayed in the header and also in the part for items; 4 - 6 values correspond to the 1 - 3 values; just instead of a bank abbreviation the name of a bank is displayed. |
BarCode - Yes Yes - a bar code is displayed. |
CodeOfCurrency - No Yes - a code of currency is displayed (e.g. USD). No - the sign of currency is displayed (e.g. $). |
Contacts - 1;Addr;TaxNum;Tel1;Fax1;Email1;WWW The parameter has a total of 10 positions, the first three are fixed: 1. position: a user whose contacts from the user card (telephone, mobile, fax, email) are printed. Options: 0 - no user contacts, 1 - the user who has issued the doc., 2 - the currently logged in user, who prints the documents. 2. position: "Addr" - if it is specified, a company address is displayed. 3rd: "TaxNum" - if specified, the ID-No. and VAT Reg. No. are displayed. 4th - 10. position: listed types of electronic addresses of the own company (ie. there may be up to 7 types). Example: (Contacts - 1;Addr;;TEL1;FAX1;WWW1): The Company Address will be displayed, behind which are the contacts from the user card, (tax numbers are skipped by an empty string on the 3rd place), then there are electronic addresses with Tel1 type, Fax1, WWW1. Note: If one piece of data is suppressed, there is no vacancy. Nevertheless, the default order in the report is always as follows: address, Tax No., user contacts, entered electronic addresses of own company. |
Description - No Yes - information from the Description field from the 1st page of the document is displayed. |
DraftLabel - Yes Yes - if a document is not confirmed, "DRAFT" text is displayed in the background of a report. No - "DRAFT" is not displayed. |
K2Info - Yes Yes - displays informative text about the document issued by the K2 system. |
KeepEnvelopeFormat - No No - the blank space under a place for envelope window is hidden. The saved place is multiplied, if the "ShowBarCode" parameter is set on "No". Useful if the user does not use the window envelopes and does not want to fold the printed document into an envelope according to the cam line guide of a document. Yes - the place is not hidden - the line between items and the address part will always be in one third of the page. |
LangAccordToParams - No If the report has to be printed in a language that is set in the "Field Language" and "Report Language" parameters, you have to set the value of the parameter to "Yes". |
LeftEnvelopeWindow - No Yes - the address of a customer is printed on the right side (determined for sending documents by mail in abroad where a window for envelope is on the left side); No - the address of a customer is on the left side. |
LeftShift - 5 By how many mm the edge of the report is shifted to the left (sets the print on a printer). |
LogoPictureFooter - 0 Parameter adjusts the footer logo display. 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 a place keeps free (for a header paper), 1 - neither picture nor free place. File name with png suffix - specific picture in the Pictures directory of the given company. |
LogoPictureHeader - The parameter corrects the logo header. If the parameter is empty, the header logo is displayed according to the parameter settings Picture in Header in the function Administrator - System - Administration of Own Companies. 0 - nothing is displayed, but a place keeps free (for a header paper), 1 - neither picture nor free place. The conditions are to set the parameter KeepEnvelopeFormat to No. File name with png suffix - specific picture in the Pictures directory of the given company. |
OwnCurrency - 0 In documents in foreign currency: 0 - displays just amounts in doc. Currency, 1- Exchange Rate is displayed; 2 - tax recapitulation that is recalculated into company currency is displayed; 3 - either recalculation of Tax recapitulation or Recapitulation Rate is displayed. |
ProportionalFont - Yes Yes - supplements are displayed with Verdana font type, No - CourierNew font type. |
RefNoAsInvoiceNo - 01/01/2999 If the invoice date of a document (if the invoice date is zero, then acc. trans. date) is greater than or equal to a value in the parameter, then a value of a reference number instead of a document number is displayed in the report in the Registration number field. |
Sign - @Vyst;;; The parameter contains 5 positions: 1st position determines the person whose signature should be displayed. It may be a picture named according to the Logname of the user who has issued the document (@Vyst) or who prints the document - i.e. according to the current login (@akt) or the current 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 an entered task in the Stamp field in Administration of Own Companies: via alias: k2*DEMO\Pictures\stamp.png (searches the picture in the Client's path. The file stamp.png in the Pictures 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 position: picture height. 3rd position: distance from the left edge. 4th position: distance of a picture from the upper edge of the given section. 5th position: picture width. 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. |
SupplFromCustomer - 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 card will be displayed (e.g. the DB 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 field from the own company. Otherwise the entered type of a supplement from the Client parameters is displayed. |
Title - The entered value of the parameter is displayed as a report title. If the parameter is empty, the original name of the document is printed. |
List of other receivables
Process No.: ZAK019 |
Report ID: SZAK164 |
File: Other_List.AM |
Report description: The report shows the List of other receivables. |
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Address in the tree: [Sale] [Other receivables] [Print documents] |
Report parameters:
NoInteractive - No Yes - the input form will not be displayed. |
ReportID - 0 0 - sort by document number; 1 - sort by date of accounting event; 2 - sort by due date; 3 - sort by gross amount, 4 - sort by Comp. Reg. No., 5 - sort by currency, 6 - sort by supplier/customer, 7 - sort by tax point date, 8 - sort by cost centre. |
ShowBothCurr - Yes Yes - displays the amounts in the currencies of both the advance and the company. |
ShowCustContrAbbr - Yes Yes - displays the abbreviation of company; No - displays the name of company. |