Settle claims (Settle object)
Displays a list of receiving plan data, which falls under the category specified in "from/to" screen. This screen is used for setup of the settle Amt.
→To Operation
Procedure
Screen Transition
[Claims Control Module]
↓
[Settlement]
↓
[Settle Claims]
↓
[Settle claims (from/to)] screen
↓
[Settle claims (Settle object)] screen
"Start" button → [Settle
claims (Details entry)] screen
Item description
The display items will vary depending on whether "New"
or "Modify/Delete" is selected under "Type" in the "from/to" screen.
Selecting
"New"
- Settle exe date
Enters the settle execution date. The system date is displayed.
- Settle internal No.
Displays the settle internal number. The settle internal number cannot be modified.
- Settle No.
Enters the settle number. Numbers are assigned using the method specified in the [Voucher Numbering Setup]
screen of the [System Custodian Module].
- Settle currency
Displays the settle currency that was specified in the From/To screen. The settle currency cannot be modified.
- Settle Amt(A)
Enter the total amount for settlement.
- Total Settle amt (B)
Displays the sum of all settle amounts in the spreadsheet. The amount cannot be modified.
- Difference (=A-B)
Displays the amount after substracting settle amt (B) from settle amt (A). The resulting amount cannot be modified. The settlement can be executed even if the difference is an amount other than zero.
Spreadsheet
- Entry type
Displays the entry type as "Claims" or "Sales."
- Accountee code, Name
Displays the accountee code.
- D Description code, Name
Displays the D description code that was entered in the receiving plan.
- Internal No.
Displays the internal number that was entered in the Claims Entry and Sales Entry.
- No.
Displays the voucher number that was entered in the Claims Entry and Sales Entry.
- Item code, Name
Displays the item 1 and item 2 codes, (either of the "flexmaster 1-3 code", "update operator code", or the "delivery location code), specified in the "from/to" screen. . When the "flexmaster 1-3 code" is selected, the caption that was specified in the "Additional Information Name Setup" screen is displayed. If an item was not set in the "from/to" screen, these columms s will not be displayed.
- Expiration date
Displays the expiration date entered in the receiving plan.
- Claims date
Displays the claims date entered in the Claims entry and Sales entry screens.
- Settle method code, Name
Displays the settle method code and name entered in the receiving plan.
- Claims dept code, Name
Displays the claims dept code and name entered in the receiving plan.
- Own financial inst code, Name
Displays the own financial inst code and name entered in the receiving plan. If an option other than "Auto-transfer," "Brought in T/F," or "Auto debit" was selected for the settlement type in the "from/to" screen, this column will not be displayed.
- Own bank account code, Name
Displays the own bank account code and name entered in the receiving plan. If an option other than "Auto-transfer," "Brought in T/F," or "Auto debit" was selected for the settlement type in the "from/to" screen, these columns will not be displayed.
- Claims currency
Displays the currency used in the Claims entry and Sales entry screens. If "Foreign currency" was selected for the settle currency in the "from/to" screen, this column will not be displayed. In addition, if "Std currency" was selected for the settle currency in the "from/to" screen, and if "the "Settle (S/C)" option was not selected in the receiving plan data for the settle object, then this column will not be displayed.
- Settle (SC)
Displays a checkmark when the receiving plan data was entered with the "Settle (SC)" option selected. If "Foreign currency" was selected for the settle currency in the "from/to" screen, this column will not be displayed. In addition, "Std currency" was selected for the settle currency in the from/to screen, and
if the "Settle S/C" data was not included selected in the payment plan data for the settle object, then this column will not be displayed.
- Receiving plan Amt, Receiving plan Amt (SC)
Displays the receiving plan amount and the amount after conversion to the std currency.
- Unsettled balance (Amt), Unsettled balance (Amt (S/C))
Displays the unsettled balance (Receiving plan Amt - Total settled Amt) and the amount after conversion to the std currency.
- Settle
Adds a checkmark to the row of a payment plan for settle execution.
- Receiving Amt
Enters the settle execution amount for columns in which the settle object has been selected.
- Settle claims Amt
Enters the foreign currency conversion amount for the settle amount. This item can only be entered when the "Settle object" and "Settle (SC)" checkboxes are activated.
- Prefix No.
Displays the setup value for the default prefix number in the "Employee Register" screen.
- Update operator code, Name
Displays the most recent update operator code and name.
Selecting "Modify/Delete"
- Settle exe date
Enters the settle execution date. The system date is displayed.
- Settle internal No.
Displays the settle internal number. The settle internal number cannot be modified.
- Settle No.
Displays the settle number. The settle number cannot be modified.
- Settle currency
Displays the settle currency that was specified in the From/To screen. The settle currency cannot be modified.
Spreadsheet
- Settle exe date
Displays the settle execution date.
- Settle internal No.
Displays the settle internal date.
- Settle No.
- Accountee code, Name
- Settle currency
- Settle amt, Settle amt (SC)
- Adjustment amt, Adjustment amt (SC)
- Update operator code, Name
[Buttons]
- Name1/2
- Detail
Displays the detailed information for the receiving plan.
- Clear row
Clears the data entered in the cursor row.
- Set all
Selects the entire settle object column.
- Delete all
Selects the entire settle object column.
- Start
Opens the "Details entry" screen for details setup of the settlement data.
- Exit
Returns to the "from/to" screen.