Settle (receipt/claims) (differential adjustment)
Adjusts difference between actual receipt
amount and settle amount. You can
create 2 rows of settle data; "Settle deposit" and "Settle offset," for 1 row
of collection plan.
→ To Operation
Procedure
Screen
Transition
[Bank
account control module]
↓
[Entry]
↓
[Settle (receipt/claims)]
↓
[Settle
(receipt/claims) (from/to)] screen (New)
"Start" button → [Settle
(receipt/claims) (object list)] screen (New)
"Adjustment account entry" button
→ [Adjustment account entry] screen
"Difference adjustment
entry" button → [Settle (receipt/claims) (differential
adjustment)] screen
"Details" button → [Collection plan data details] screen
"Other collection plan" button → [Collection
plan] screen
"Read payment plan" button → [Payment
plan] screen
"Advance R entry" button → [Debts entry] screen
"Adj entry" button → [Settling adjustment entry] screen
[Item
Setup]
Header
-
Settle entry date
-
Receipt date
-
Correspondent group/Correspondent
-
Settle internal No.
Internal No. of the settle data to be created is
displayed. It is for display
only. No modification is allowed.
-
Settle No.
Numbering type
|
Display
item
|
"Sequential No. with prefix No.," "Yearly
with prefix No." and "Monthly with prefix No."
|
Entry items are displayed. Required to enter. Even though you
set up settle No. on the [Object list] screen, "Blank" is displayed by
default.
|
"Manually"
|
Enter the settle No. of the settle data. Required to enter. Even though you set up the settle No.
on the [Object list] screen, "Blank" is displayed by default.
|
"Manually with prefix No."
|
Prefix No. entry items are
displayed. Required to
enter. The Prefix No. set up in [Employee
setup] is displayed by default.
Enter the number manually.
|
-
Auto-journal object
Check the check box to perform the auto-journal.
-
Accounting internal No.
The internal No. of a voucher to be created is
displayed. It is for display
only. No modification is
allowed. Displayed only when the "Auto-journal
object" check box is checked.
-
Data level
Enter the data level of auto-journal data to be
created. Displayed only when the "Auto-journal
object" check box is checked.
Entry is required.
[Receipt data] - Spread
-
Financial institution master code, Name
-
JBA code, Branch code
-
Bank account master code, Name
-
Bank account type
-
Bank account No.
-
Total receipt Amt
[Collection plan] tab
The collection plans corresponding to the
spread section of [Receipt data] are listed. The following items are displayed;
-
Correspondent code, Name
-
Expiration date
-
Voucher type
-
Internal No., No.
-
Plan row No.
-
Settle method code, Name (Plan)
-
Claims Dept code, Name
-
Claims A/C code, Name
-
Claims sub A/C code, Name
-
Own financial Inst code (plan), Name
-
Own bank account code (plan), Name
-
No offset settlement
Displayed when the "No offset settlement" check box
in [Settle method] of collection plan data is checked.
-
Settle (SC)
Displayed when the "Include "settle (SC)"
of FC bond" check box on the [Range] screen is checked and there are collection
plan data entered in foreign currency in target data. The box is checked for collection plan data entered with the
"Settle (SC)" box checked.
-
Unsettled balance
The unsettled balance (Collection plan Amt (SC) - Settled
Amt (SC)) on an entry currency basis is displayed.
-
Unsettled balance (SC)
The unsettled balance (Collection plan Amt (SC) - Settled
Amt (SC)) on a standard currency basis is displayed.
-
Settle
Check the boxes in the rows of the collection plan
to be settled.
-
Settle Amt
Enter amount to be settled. You can enter it only in rows with the "Settle"
boxes checked.
-
Settle entry Amt
You can enter Settle entry amount only in rows with
the "Settle" and "Settle (SC)" boxes are checked.
-
Bank T/F Amt
Enter deposit settle amount of settle amount. The same amount as "Settle Amt" is displayed
by default. Change is also
allowed.
-
Bank T/F Amt
Enter bank T/F amount only in rows with the "Settle"
and "Settle (SC)" boxes checked.
-
Settle method code (T/F), Name
Enter the settle method used for the settle bank
T/F amount code if needed. You can
enter only the settle method whose settle type is "T/F Settle."
-
Bank deposit A/C code, Name
-
Bank deposit sub A/C code, Name
-
Receiving Dept code, Name
-
D description code, Name
-
Project code, Name
-
Accounting analysis code, Name
-
Own financial Inst code (Settle), Name
-
Own bank account code (Settle), Name
-
Debts offset Amt
When the "Settle (SC)" box is not checked, "Settle
Amt - Bank T/F Amt" is displayed.
When the box is checked, "Settle Amt - Bank T/F Amt (SC)" is displayed.
-
Debts offset Amt
"Settle Amt - Bank T/F Amt" is displayed. Displayed only when the "Include
"settle (SC)" of FC bond" box on the [Range] screen is checked and
there are the collection plan data entered in foreign currency in target data.
-
Offset settle code, Name
Enter the settle method. You can enter a settle method whose "Settle type" is "Debts-OFF/Adv
R-aprprt" only.
Payment plan (Offset object)
tab
-
Correspondent code, Name
The correspondent code and name of payment plan
data are displayed. If you
selected "Corespondent" on the [Range] screen, the column itself is hidden.
-
Expiration date
-
Voucher type
-
Internal No., No.
-
Settle method code(Department), Name
-
Debts Dept code, Name
-
Debts A/C code, Name
-
Debts sub A/C code, Name
-
Settle (SC)
Displayed when "Include "settle (SC)" of
FC bond" on the [Range] screen is checked and there are collection plan data
entered in foreign currency in target data.
-
Unsettled balance
The unsettled balance (Collection plan Amt (SC) - Settled
Amt (SC)) on an entry currency basis is displayed.
-
Unsettled balance (SC)
The unsettled balance (Collection plan Amt (SC) - Settled
Amt (SC)) on a standard currency basis is displayed.
-
Settle
Check the boxes in the rows of the collection plan
to be settled.
-
Settle Amt
-
Settle Amt
-
Settle method code (settlement),
Name
Enter the settle method and name to be used for the settle item. You can enter "Settle type" selecting "Claims
offset/Prepaid appropriation" only.
Amt Total Spread
-
Total receipt (A) Amt
Total amount of receipt data is displayed.
-
Total T/F Settle (B) Amt
Total amount (SC) of T/F settle object of the "Collection plan" spread is
displayed.
-
Total debts offset (C)
Total amount (SC) of offset object of the "Collection plan" spread is
displayed.
-
Total claims offset (D)
Settle debts total amount (SC) of the payment plan (offset object) spread is
displayed.
-
Advance R Total Amt(E)
Total amount of the [Advance R entry] tab is
displayed.
-
Adjustment Amt (F)
Total of the adjustment amount entered on the [Settling adjustment entry]
screen "Profit (Cr) total - Expenses entry (Dr) total" is displayed.
-
Difference (=A-B-C+D-E-F)
Total notes receivable (A) - Total notes collection (B) - Total debts offset (C)
+ Total claims offset (D) - Advance R Entry total (E) - Adjustment Amt (F) is
displayed.
[Buttons]
-
Details
Activates the details screen for collection plan/payment
data of the row with the cursor.
-
Clear
row
Clears the row selected in the collection plan/payment plan (offset object)
spread.
-
Other collection plan
Activates the "Collection plan" screen. It can be activated if you have
selected any tab of the collection plan/payment plan (offset object).
-
Read payment plan
Activates the "Payment plan". It
can be activated if you have selected any tab of the collection plan/payment
plan (offset object).
-
Advance R entry
Activates the [Debts entry (Advance R entry)]
screen to enter new advance received.
It can be activated if you have selected any tab of the collection plan/payment
plan (offset object).
-
Delete Advance R
Deletes the advance R data entered on the [Advance
R entry] tab.
-
Set all
Checks all the "Settle" boxes in the spread section
of the selected tab.
-
Cancel all
Unchecks all the "Settle" boxes in the spread section of the selected tab.
-
Name1/2
-
Settle details entry
When you select and click the [Collection plan] tab, the [Claims
settlement data details entry] screen of [Claims control module] appears
allowing you to enter details of the flexible master, etc. for settle items.
When select and click the [Payment plan] tab, the [Debts
settlement data details entry] screen of [Debts control module] appears
allowing you to enter details of the flexible master, etc. for settle items.
-
Adjustment entry
Activates the [Settling adjustment entry] screen. The currency is fixed as "Std currency."
-
Exe settle
Executes the settle process. Note that if "Difference ≠ 0.00" or "T/F
SettleTotal (A) = 0.00 and Advance R entry total (E) = 0.00," it will be
displayed in light color not allowing you to execute the settle process.
-
Exit
Exits the screen without executing the settle
process and goes back to the previous screen.