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Repayment commit entry - Details screen - [Cash equivalent] tab

Double click on the spreadsheet row, spreadsheet line on the [Repayment Data List Screen], click the "Details entry" button, and this screen starts up.
→To Operation Procedure

Screen Transition

[Debts Control Module]
  ↓
[Entry]
  ↓
[Repayment Commit Entry]
  ↓
[Repayment commit entry (Sub-screen)] screen
  ↓(in case of "New")
[Repayment commit entry] screen
  ↓
[Repayment commit entry - list] screen
  ↓
[Repayment commit entry] screen - [Header] tab
[Repayment commit entry] screen - [Borrowings/Payment interest] tab
[Repayment commit entry - details] screen - [Cash equivalent] tab

or

[Debts Control Module]
  ↓
[Entry]
  ↓
[Repayment Commit Entry]
  ↓
[Repayment commit entry (Sub screen)] screen
  ↓(in case of "modify/delete")
[Repayment commit entry] screen - [Header] tab
[Repayment commit entry] screen - [Borrowings/Payment interest] tab

[Repayment commit entry - detail] screen - [Cash equivalent] tab

Item Setup

This sets up settlement information such as settle method and bank code, debts A/C, debts department, etc. Whenever the ">>>"button on the upper right hand side of screen is clicked, the [Main Item] and the [Sub-item] are alternately displayed.

[Main Item] (Upper part of screen)

[Corresp.'s Financial Institution (EB transmission)]

[Sub-items] (Upper part of screen)

[Spreadsheet] (Lower part of screen)

[Amount Display Spreadsheet] (Lower part of screen)

[Buttons]

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