Booking Letters of Credit on the Customer Sales Rebate Report
When you run the Customer Sales Rebate Report and choose to book the
letters of credit, the system creates a negative purchase order to the
rebate vendor. The quantity on the order is "-1" and the product
added to the purchase order is the miscellaneous charge product, such
as "Rebate Request" defined in the Rebate
Detail Setup Informationcontrol maintenance record. The amount of the purchase
order is the total rebate amount the vendor owes you.
You can post the letters of credit to either one branch, usually the
parent branch, or to individual branches based on your company policies.
After a purchase order is created from the Customer Sales Rebates Report,
the purchase order status is set to Received
and the system creates a journal entry, if required and the Create
Journal Entries option is selected. The system records these events
in the change log.
Note: If
vendor responses are a perfect match to what was claimed, the system to
automatically creates the payable and applies it to the rebate purchase
order as approved.
About EDI Transmissions for Booking Letters of Credit
To transmit this purchase order to the vendor, enter the letter E for EDI in the Print
field on the Status tab of the
purchase order. Select an EDI transaction type, such as EDI 844 Rebate
Request when prompted. Upon escaping from the purchase order, the system
sends the EDI 844 Rebate Request to the vendor. The rebate request can
also be faxed or e-mailed. The Customer Sales Rebates Report populates
the Rebate Detail File, which you can access through the Rebate Detail
Maintenance screen, and is sent with the EDI 844 Rebate Request to the
vendor.
Note: You
must be assigned the POE.ALLOW
and the BOOK.LETTER.CREDIT authorization
keys to book a letter of credit using the Customer Sales Rebate Report.
When the system creates a journal entry for the transmission, it posts
the amount associated with direct orders to the account set up in the
Rebate G/L Direct Inventory Account
field in the Rebate
Detail Setup Informationcontrol maintenance record. If this field is left blank,
users are prompted for a G/L account entry.
In addition, when booking the letters of credit through the Customer
Sales Rebate Report the system creates a Customer Sales Rebate Book Letter
of Credit Summary Report and sends the report to the Hold file of the
user who generated the report.
More
The summary report lists the vendors, purchase orders created, and
their totals by branch that were generated for the rebates, and the
journal entries with their debit and credit amounts that were automatically
created if the report was set up to automatically create the journal
entries.
If you run this report in Eterm, you can view the first 10 branches
on the report and you cannot print more than 10 branches. However,
in Solar, you can able to view more than 10 branches and download
the report to Excel for viewing and printing purposes.
To book letters of credit:
-
From the Reports
> End of Month Reports > Customer Reports menu, select
Customer Sales Rebates to
display the Customer Sales Rebates Report window.
-
In the Branch/Territory
field, enter the branch or territory to include in the report. Enter
All to include all branches
and territories.
-
In the Vendor
field, you must enter the vendor.
-
In the Sort
by field, you must enter a branch selection, such as Br/Contract/Customer.
-
Select File
>Book Letter of Credit
to display the Book Letters of Credit dialog box.
-
Complete the
the
fields, as needed:
Field
|
Description
|
Book Letters of Credit
|
Select this
check box after you have run and reviewed the Rebate Report
internally. Selecting this check box creates the negative
purchase orders for the credits, and sends a message to
the user who ran the report with the purchase order numbers
created. The purchase order information is also summarized
in the Customer
Sales Rebate Book Letter of Credit Summary Report, which
generates automatically when you book letters of credit
and is sent to the Hold file of the user who ran the report.
Leave this check box deselected to
produce a rebate report without creating the negative
purchase order. Running the report using this option deselected
lets you review the report before creating the purchase
orders. This is the default.
Note:
Review the rebate request before booking letters of credit.
Consider the following when you are
selecting these options:
Scenario
|
If the EDI 'Book Letter
of Credit Vendor' field set to...
|
and Customer Sales Rebate
Report 'Book Letter of Credit' is...
|
and the 'Create &
Queue EDI Document' option is...
|
Then...
|
1
|
Yes
|
Yes
|
Yes
|
The document is created
and queued.
|
2
|
Yes
|
No
|
No
|
A message displays to the
user indicating they must select the Book Letter
of Credit option.
|
3
|
No
|
Yes
|
Yes.
|
The document is created
and queued.
|
4
|
No
|
No
|
Yes
|
A warning message displays
and only an EDI document is created.
|
|
Preview Journal Entries
|
Select this
check box to run the JE Explanation Review Report, which
lists the products and their amounts that will contribute
to the journal entry amount used to offset inventory for
discrepancies due to rebates given.
If you use landed average cost or
average cost as your COGS (cost of goods sold) basis,
a journal entry is created along with the claim purchase
order for the rebate. The journal entry reconciles the
inventory valuation because the inventory was credited
at the rebate cost, rather than average cost, because
of the sell matrix COGS override.
Note:
If there is no journal entry that will be created, no
journal entry preview report is created, regardless of
whether is check box is selected.
|
Create Journal Entries
|
Select this
check box to create the journal entries to offset inventory
for discrepancies due to rebates given. To use a specific
posting branch and date for the journal entries, use the
Posting Branch
and Posting Date
fields described below.
If you prefer to create the journal
entries manually, leave this check box deselected.
|
Purchase Order Creation
|
Indicate whether
the purchase order created is single or split into multiple
orders.
-
Single - Creates
only one purchase order as a collective total of rebate
due from the vendor for your entire company, and the
general ledger activity is posted at the branch level.
You must then specify a general ledger posting branch
for the order.
-
Split - Creates
a separate purchase order for each branch in which
rebates are issued.
Note:
This field is only accessible if the Book
Letters of Credit check box is selected.
|
Posting Branch
|
If the Book Letters of Credit
check box is selected and the Purchase
OrderCreation
field is set to Single,
enter the general branch where the rebate credit is received.
Note:
If the Purchase Order
Creation is set to Split,
this field is disabled.
|
Posting Date
|
If the Book Letters of Credit
check box is selected and the Create
Journal Entries check box is selected, use this
field to specify the date the negative purchase order
and journal entry post.
If you leave this field blank, the
system posts the purchase order and journal entry the
date the Rebate Report is run.
|
-
Click OK
to return to the Customer Sales Rebates Report window.
-
Set
options, if needed, and generate the report.
Note: If
you e-mail the documents and select the Split
option, the system consolidates the resulting .csv files. This means you
receive a single e-mail with multiple attachments. Each attachment indicates
the document type you are receiving in a file name extension, such as
-Customer Detail or -Journal Entry detail.
See Also:
Running the
Customer Sales Rebates Report