The following control maintenance records belong to the AR (Accounts Receivable) area within the ACCT (Accounting) category.
On the A/R Aging Bucket Names window, the first column lists the system's six aging buckets. Use this record to change the system default names for A/R aging buckets. More:
Important: If you are using Eterm to run your A/R matching using the A/R Aging Bucket Names control maintenance record, then use only this control maintenance record. We recommend using Solar and the Automatic Cash Receipts Options control maintenance record to achieve the best A/R processing results.
Select the aging method to use to move A/R amounts from one aging bucket to the next. More:
Enter the different types of A/R collection letters, such as 30-Day, 60-Day, 90-Day, that your company sends. Use these types on the A/R Collection Log Call window to indicate that a collection letter has been sent and the type of letter that was sent.
Indicate the setting you want to use when a customer makes a payment on their account by cash, check, or credit card. The system uses the settings to create the behind-the-scenes sales order for processing the payment and applying any fees when processing any account payments made by credit card. Use these fields:
Enter the URLs you want to use to when processing checks electronically using the ACM processing system.
Indicate whether the system applies excess cash against the invoice when entering batch cash receipts. More:
Enter the maximum number of open invoices a customer can have when the system is auto-posting cash receipts to that account. More:
Set this control maintenance record to define the matching rules hierarchy for each bank and branch when creating automatic cash receipts. For example, a customer’s bank sends you electronic funds information in a file. When you upload and process the file, the system uses the settings in this record to determine how to apply payments sent in the file to the correct open A/R balances.
For each bank and branch combination for which you create automatic cash receipts, complete the following information
Set the header fields that identify the bank and branch and MICR match information.
In the table, set one or more matching rules.
Right-click the matching rules and select Edit Comparison to set additional information.
Important: If you are using Eterm to run your A/R matching with the A/R Aging Bucket Names control maintenance record, then this control maintenance record is not used. We recommend using Solar and this Automatic Cash Receipts Options control maintenance record and the Disable Old A/R Matching Rules control maintenance record to achieve the best A/R processing results.
For each variance type, map an account in your general ledger that you want to use for different cash or invoice write offs of minimal dollar amounts. More:
New in Release 9.0.5
The status in which an invoice is stopped from printing and fabrication on the customer site when using the Billtrust companion product.
New in Release 9.0.5
Indicate how and when to fabricate invoices on the customer site when using the Billtrust companion product. More:
Enter a maximum percentage and dollar amount, which determine whether the system should process an automatic cash receipt that does not exactly match an invoice amount. More:
Set to Yes to activate control. When an invoice for the order is generated where the user has deleted all items, the is able to cancel the order. Avalara Tax calculation will remain showing Tax calculation for the Last item deleted from Gen Order (other deleted items from generation order are removed from Tax calculation) and Avalara “Doc Status” will be “Voided” for the gen.
With control set to No, system will work as it does today. Status will still show as “Invoice” and Avalara Tax calculation will remain showing Tax calculation for the Last item deleted from Order gen (other deleted items from generation are removed from Tax calculation) and Avalara “Doc Status” will be “Uncommitted” for the gen.
Indicate whether to display the last sales order payment in the Last Pmt field in A/R Inquiry. More:
Indicate whether the system ignores customer branch authorization in cash receipts. More:
New in Release 9.0.4
If you are no longer using Eterm to run your A/R matching with the A/R Aging Bucket Names control maintenance record, then use this control maintenance record to ensure that those old matching rules are ignored. Then, use the Automatic Cash Receipts Options control maintenance record to achieve the best A/R processing results.
New in Release 8.7.9
Set to Yes to stop the following AR reports from running automatically after cash posting: Auto Match History Report and Auto Match Summary Report.
Enter G/L accounts to exclude from the calculation of paid amounts on the Commissions Report. For example, if the money applied to an invoice was posted to a Bad Debt account and you list Bad Debt as an account to exclude, then the report excludes that invoice as a paid amount.
Indicate whether the system generates an error report when printing or faxing from the A/R Collection Queue.
Yes - Generates error report.
No - Does not generate error report.
Select which credits the system includes when calculating service charges. When left blank, the system includes all credits. More:
Indicate whether the system includes on-account payments and deposits made by a customer in the current accounting period in the overdue accounts receivable balance on which the system calculates a service charge. More:
Indicate whether to include previously assessed past due unpaid service charges in the current service charge calculation when posting service charges. More:
Indicate whether to include sales tax in the amount on which the system calculates a discount. More:
Enter the number of digits you want to use for matching digits on an invoice. More:
Indicate whether to use the Invoice date or Due date to determine if an invoice was paid after the maximum collection days. More:
Determine how you want to handle records for non-sufficient funds. The system creates sales orders behind the scenes for the NSF charges. The sales order requires these fields to process. Indicate which setting to use for an NSF sales order:
For each branch, indicate whether to post unapplied cash amounts to the customer's home branch when the user exits the Cash Receipts window to save the cash receipt. More:
Use this control maintenance record to limit the customer information a user can view to the branches to which the user has access. More:
New in Release 8.7.9
Set to Yes to run this report after lock box cash posting.
New in Release 8.7.9
Set to Yes to run this report after lock box cash posting.
Enter the states for which service charges are taxable. The Post Service Charges program checks this record for the state of the ship-to customer. If the state is listed, the program charges tax on service charges for that customer.
Indicate whether to use the current balance in the service charge calculation. More:
Enter valid cash sources, such as LockBox for automatic cash receipts. Valid sources can be up to 10 characters. Sources are saved for incoming cash receipts and are available for reporting purposes.
Enter cycles, such as EOM (end of month), BOM (beginning of month), or 25th, for sending statements to customers. Each code can be up to four characters. More:
Complete this record if your company downloads time clock data for the RapidPay system.
In the Adj Codes field, enter the adjustment codes required by the program.
In the D/E field, enter the D/E code.
In the Earn field, enter the Earnings code.