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Overview of payment instrument status - Cheque (cash out)

Menu path

Cash flow ➔ Miscellaneous ➔ Instrument status

Introduction

It is possible to generate an overview of all cheques in your administration that have been used to make payments to your creditors. This enables you to quickly see the outgoing cash flow through the payment instrument and makes it easier to decide what to do with payments that have been made.

Fields

You can filter the payment instrument status that you want to display. To search for the payment instrument status, you need to define one or more of the following criteria and click Refresh. The payment instrument statuses that match the search criteria you have entered are then displayed.

Note: The descriptions in the following are based on having the Advanced: Instrument handling check box selected. You can find this check box at System ➔ General ➔ Settings ➔ Bank settings under the General section. Additionally, in this document Cheque is selected at Type and Cash out is selected at Show, under the Range section.

Range section

Type

Select a payment instrument to view the status. Choose from Cheque, Post dated cheque, or Letter of Credit. In this document, Cheque is selected.

Note: The available criteria will change depending on your selection.

Date

Type or select a payment date range to display the payment instrument status that falls within the range. Select the All check box for all payment dates.

Due date

Type or select a due date range to display the payments that fall within the selected range. Select the All check box for all due dates.

Show

Select Cash in or Cash out to be displayed in the payment instrument status.

Account

Type or select a creditor account number to view the related instrument status. For more information, see Selecting accounts.

Prepayment/Invoices/Authorized/Printed/Payment in transit/Voided/All

Select one that applies to the payment instrument status you wish to view.

Advanced/Simple

Click Advanced to display the advanced criteria. Click Simple to hide the advanced criteria.

Group by

Select the required option to group the instrument status by Cash instrument, General ledger, Account, Payment reference, Instrument no., or Details. The available options will change depending on your selection.

Exclude: Settled

Select this check box to exclude settled cheques.

Note: This is available only if Printed is selected.

Filter section

Under this section, you will see different criteria depending on the selection you make at Show. The descriptions in the following describe the criteria if Cash out is selected.

Instrument no.

Type or select an instrument number range. Select the All check box for all numbers.

Amount

Type an amount range. Select the All check box for all amounts.

Cash instrument

Type or select a cash instrument number to view the status. For more information, see Selecting cash instruments.  

Payment reference

Type a payment reference number (of the payment made from the selected cash instrument).

Statement date/Invoice date

Type or select a statement/invoice date range. Select the All check box for all dates.

Note: You will see Statement date if either Prepayment, Authorized, Payment in transit, or Voided is selected under the Range section. You will see Invoice date if either Invoices, Printed, or All is selected instead.

Results section

Under this section, you will see details of the instrument status, payment reference, instrument number, transaction type, and others. 

Buttons

You may not see all the buttons on one screen. The buttons change according to your selection at Type, Group by and if you have selected Prepayment, Invoices, Authorized, Printed, Payment in transit, Voided, or All.

Refresh

Click this to display the search results according to the defined criteria.

Note

Click this to add a new note or to view existing notes for the selected account. Type a note, click Timestamp (optional), Save and then Close to exit.

Card

Click this to display the creditor card. For more information, see Viewing creditor cards.

+5 Days

Click this to add 5 days to the payment date.

+10 Days

Click this to add 10 days to the payment date.

Our ref.

Click this to display the complete transaction of the selected line based on the internal reference number.

Your ref.

Click this to display the complete transaction of the selected line based on the customer reference number.

Maintain

Click this to go to the creditor maintenance screen. For more information, see Creating accounts payable

Export

Click this to export the data to Microsoft Excel.

Detail

Click this to view further details of the payment instrument status.

Print

Click this to print the invoice. The invoice will then be removed from the results at Authorized and will be displayed at Printed.

Note: Once this button is clicked, a pop-up screen is displayed where you can select a layout to be used. Thereafter, the VAT screen will be displayed where you can type relevant VAT information to be printed. The VAT screen is only displayed if the unmatched payment is allocated to the respective creditor. 

Block

Click this to block the transactions from further actions.

Assign

Click this to assign Own account, Payment date, Payment method, Instrument Number and To Cash instrument to a creditor.

Zoom

Click this to display the details of the selected cheque.

Back

Click this to return to the previous screen. This button is available only after Zoom is clicked.

Match

Click this to match the invoices with the cash flow entries. For more information, see Matching payments or receipts to invoices.

Group

Click this to group the selected invoices manually or automatically based on Payment reference, Payment date, Own account, Payment method, Instrument number, or To Cash instrument. (This is not necessary for a single creditor).

Summary

Click this to display the summary report of the payment instrument statuses.

Process

Click this to process the payment. Once the payment is processed, the invoice will be removed from the results at Authorized or Printed, and displayed at Payment in transit

Authorize

Click this to authorize the cheque payment. The invoice will then be removed from Prepayment or Invoices, and will be displayed under Authorized.

Reverse auth.

Click this to reverse the authorized record back to the invoice state. A message “Already authorized” will be displayed. Click Continue to proceed or Cancel to cancel the function.  The invoice will then be removed from Authorized and will be displayed under Prepayment or Invoices.  

Void

Click this to void the transaction.

Close

Click this to exit.

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 Main Category: Attachments & notes  Document Type: Online help main
 Category:  Security  level: All - 0
 Sub category:  Document ID: 13.707.466
 Assortment:  Date: 26-09-2022
 Release: 390  Attachment:
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