使用 Microsoft 登入
登入或建立帳戶。
您好:
選取其他帳戶。
您有多個帳戶
選擇您要用來登入的帳戶。
英文
很抱歉,此文章目前沒有您所使用語言的版本。

Payment practices

  1. Create Purchase Order or Invoice through document or from Purchase Journal and Payment Journal. Specify “Invoice Receipt Date” if it’s different from “Document Date”.

    Create Purchase Invoice

    Create Purchase Order

    Note: For Purchase and Payment Journal press “Choose columns” and add “Invoice Receipt Date”.

    add Invoice Receipt Date

  2. Go to CRONUS International Ltd./Departments/Administration/Application Setup/Financial Management/Finance/Payment Period Setup. See that default Payment Period Setup is defined. Modify data if you need.

    Screenshot of Payment Period Setup

  3. Go to CRONUS International Ltd./Departments/Financial Management/Payables/Reports/Payment Practices. Specify dates to analyze Vendor Ledger Entries for period. Select “Show Invoices” if you want to see invoices including into calculation.

    Print preview

    Otherwise only totals will be printed.

    Print preview 2

  4. If you want to exclude particular Vendor from calculation in report, set option “Exclude from Payment Practices Report”.

    exclude particular Vendor from calculation in report

需要更多協助嗎?

想要其他選項嗎?

Explore subscription benefits, browse training courses, learn how to secure your device, and more.

Communities help you ask and answer questions, give feedback, and hear from experts with rich knowledge.

這項資訊有幫助嗎?

以下何者是您會在意的事項?
按下 [提交] 後,您的意見反應將用來改善 Microsoft 產品與服務。 您的 IT 管理員將能夠收集這些資料。 隱私權聲明。

感謝您的意見反應!

×