Cash Customer Bills of Exchange
Explanation
This activity is used to cash a customer bill without sending the file to
a payment institute.
To cash a customer bill without creating a transfer file:
- Open the
Customer Bill
of Exchange page.
- Select the appropriate bill of exchange.
- Use command button and then click Cash BoE to open the
Cash Customer BoE
dialog.
- Enter a cash account in the Cash Account field.
- Edit the values in the Voucher Date, Period, User Group,
Voucher Type and Voucher Text fields, if required.
- Click OK. The
Cashed BoE page
will appear with information regarding the voucher created for the cashed
BoE.
Prerequisites
In order to perform this activity, a customer bill of the Created
state should exist.
System Effects
As a result of this activity, the status of the bill changes to Settled.
The BoE customer claim (PP27) is credited and the cash account (PP1) is debited.