Repost Customer Ledger Item to Other Identity

Explanation

This activity is used to change the customer identity of unpaid customer ledger items. This is necessary if several customers are merged to a single identity or if one customer is split into several new customers. When reposting invoice ledger items, you can also change the payer and the deduction group of the reposted invoices, and you can select a new invoice type if needed. Moreover, you can enter notes for both the old and new items to record further information.

Prerequisites

This activity requires that customer ledger items in unpaid status exist which are not yet included in an open payment or in a reminder proposal or in an interest proposal.

The user must belong to a user group which is linked to a voucher type of function group B and to the accounting period which includes the voucher date of the reposting.

A payment series ID must be connected to the payment type code for Customer Ledger Item Reposting in Payment Basic Data.

The reposting method in Company/Payment/Posting Parameters must have the applicable value (Reverse/Correction).

The following posting types must be set up in posting control to create the postings for the new ledger items:

System Effects

A voucher of function group B and a payment of payment type Customer Ledger Item Reposting will be created. The ledger items with the old identity will be offset, i.e. get Paid status. For each ledger item which is offset, a new unpaid ledger item with the new customer identity will be created. Moreover,

Note: Entered notes will be attached to the old and new items.