Invoice Matching functionality
To answer some common questions surrounding Invoice Matching
functionality.
Questions and Answers
I Am Very Confused By Invoice Matching And Don't Really Understand
It. Where Can I Find An Overview Of The Process To Help Me Get Started?
A: Please review Doc ID 1441364.1 - which is a white paper on
Invoice Matching that includes screenshots and helps you understand the basics.
The Payables User Guide also contains a lot of more detailed specific
information on this topic.
How Can I Find Out Which Invoices Are Matched To A Purchase Order?
A: In Payables, run the Matching Detail Report from Other >
Request > Run.
This report will show you detail of how an invoice, purchase order,
or receipt was matched. This report is especially helpful when an invoice is on
hold and you are trying determine why the hold was placed.
What Reports Are Available To Check If A Credit Memo Is Matched To
An Invoice?
A: In Payables, run the Credit Memo Matching Report from Other >
Request > Run
Why Can An Invoice Be Matched To A PO Without A Receipt Being
Needed?
A: If the match option on PO shipment is set to Purchase Order then
the invoice can be matched directly to the PO. However, if the PO is setup with
3-way matching, then after invoice validation, if a tolerance is defined then a
QTY REC hold will be placed on the invoice which will need a receipt to be
entered in order for the hold to be released. See Doc ID 433545.1 for more
information.
Why Does The PO Number Disappear From The Invoice Header After
Matching To A PO?
A: When you are using the match button you never know how many
times to how many PO's or receipts users are going to match the invoice to,
hence, we do not store the PO number at the header level. See Doc ID 738788.1
for more information.
When Entering An Invoice, The Match Button Becomes Disabled When
The Line Item Is Selected. Users Are Unable To Match An Invoice To A Purchase
Order Or Receipt Without This Option Enabled. Is This correct?
A: This is standard functionality but once users are done
adding/updating in the Lines tab, if the General Tab is selected again, the
Match button will be available.
When Matching A PO To An Invoice, The Match Basis Is Not As
Expected. How Does This Field Relate To The PO Line Type?
A: Match Basis will be either Quantity or Amount. The value of this
field is based on the value basis of the purchase order line's type. See Doc ID
428303.1 for more information.
How Do You Match An Invoice To A PO With Two Lines, One With Match
Level Receipt (3-Way), And One With Match Level PO (2-Way)?
A: First match the invoice to the PO setup with match level
receipt. Then requery the invoice and match the second line to the PO. See Doc
ID 181736.1 for more information.
Why Can Users Not Drilldown To A PO From The Invoice During
Matching Without Encountering A 'Function Not Available For This
Responsibility' Message?
A: This is due to incorrect menu setup. The submenu
AP_PO_VIEW_PURCHASE_ORDERS_GUI needs to be added to the menu for the
responsibility used to perform the match. See Doc ID 1350427.1 for more
information.
Does The Purchase Order Number Get Populated On Freight,
Miscellaneous And Tax Lines When Using The Allocations Window?
A: The purchase order number will not get populated on freight,
miscellaneous and nonrecoverable tax lines. PO information is populated for
recoverable tax lines.
Why Does Matching An Invoice To PO Default The Accrual Account To
The Invoice Distributions?
A: If Accrue on Receipt is selected (checked) on the shipment line
to which the invoice is matched, then the functionality is to default the PO
accrual account on the invoice distributions. The PO Charge Account will
default to the invoice distributions only if Accrue on Receipt is not checked.
This is intended functionality.
After Matching An Invoice To A PO, The Distribution Shows As The PO
Charge Account But We Were Expecting To See The Accrual Account Displayed. What
Happened?
A: If the Accrue on Receipt option is set to Yes for the shipment,
then the Accrual Account will be used on the Invoice Distribution. Shipments
for inventory items will always be set to Accrue on Receipt. There is no way to
change that. In other words the PO matched distributions for inventory items
will always have the PO Accrual account as the Distribution account. Shipments
for Expense items can be set to Accrue at Period End. In that case the Charge
account defined on the PO distribution will be used as the distribution
account. The system works as designed.
How Do I Remove A Final Matching Hold, So I Can Pay The Invoice?
A: This hold is in effect because the invoice was matched to a PO
shipment that has a status of Final Closed. In 11.5.10 and above, there is no
way to manually remove the hold, reverse distributions or cancel the invoice.
What Do The Codes For The Final Match Flag Mean?
A: After you match an invoice to a purchase order, you can look at
the AP_INVOICE_DISTRIBUTIONS_ALL table and observe different codes in the
FINAL_MATCH_FLAG column. The FINAL_MATCH_FLAG has the following quickcodes:
1. N - No. The PO shipment line has not been matched.
2. Y - Yes. The PO shipment line has been matched, and one of the
invoices for this PO has been final matched. When a PO is final matched to an
invoice, all other invoices matched to that PO are updated, too. So, you cannot
tell from this flag, which invoice was final matched.
3. D - Done. The PO shipment line is closed. You cannot invoice
this distribution line.
What Does Final Match Do?
A: When you final match an invoice to a PO, you can never match
another invoice to that PO. The PO lines that have been final matched are
permanently closed. In 11.5.10 and above, invoices matched to a Finally Closed
PO cannot be updated or canceled.
How Does Descriptive Flexfield Information From The PO Line Get To
AP During Invoice Matching?
A: Enable the Transfer PO Descriptive Flexfield Information
Payables Option. With this enabled, descriptive flexfield information will
automatically transfer from the purchase order distribution to the invoice
distribution when match an invoice to a purchase order is done. The flexfield
structure for purchase order distributions and invoice distributions should be
same. Note, for ERS invoices, PO will always populate the flexfield information
in the AP Invoice Interface tables, so AP will always import these value
irrespective of this setup.
How Does The RCV_TRANSACTION_ID Column Get Populated In The
AP_INVOICE_DISTRIBUTIONS_ALL Table?
A: The RCV_TRANSACTION_ID column is only populated when the Invoice
Match Option is set to Receipt on the PO Shipment line.
It Is Possible To Match A Purchase Order To An Invoice Even If
Receiving Date Is Earlier Than Invoicing Date. In Practice, It Is Illogical
That You Pay Before Receiving. Does Oracle Allow Us To HOLD Invoices In Which
'INVOICING DATE' Is Earlier Than 'RECEIVING DATE'?
A: There is no such Standard seeded hold for this. If you want to
make a hold on this case, you have to create and apply manual holds. See Doc ID
1427975.1 for more information.
Why Do I Get An Invoice Price Variance (IPV) Line When I Match An
Invoice To A PO With Nonrecoverable Tax?
A: Nonrecoverable taxes are considered part of the
"landed" cost of the items purchased
when the non recoverable tax is not already included in the
purchase order. See Doc ID 281505.1 for more information.
Unable To Match To A Specific Distribution On A Release. How Can
This Be Fixed?
A: Enable the Allow Distribution Level Matching Payables Option, if
you want to allow matching to purchase order distributions. If you enable this
option, you can match an invoice to one or more purchase order distributions.
If you do not enable this option, Payables only allows you to match an invoice
to a purchase order shipment.
Purchasing Encumbrances Are Not Reversed By Invoice Matching. Why
Is This?
A: If PO Encumbrance Type and Invoice Encumbrance Type are the
same, AP will encumber only for variances. Only when the Accounting Entries
have been created for AP, would the encumbrance be relieved. Once the 'Create
Accounting Entries' process is run, encumbrance is relieved. This is the
standard functionality and as per design.
There Are Differences Between The PO And Invoice
Billed/Received/Invoiced Quantities. They Should
Have The Same Values If Viewed In Payables Or Purchasing. What Could
Be The Problem?
A: This is a classic data corruption issue. Run the MasterGDF
diagnostic Doc ID 1360390.1 for your invoice to determine if you are
experiencing any corruption for that invoice and find the solution for your
specific situation.
User Discards Invoice Lines On PO Matched Invoice And Cancels The
Invoice, However, The PO Still Shows An Amount Billed. This Means The PO Cannot
Be Cancelled Due To Mismatch Between The AP And PO Tables. Why Is This
Happening?
A: This is a data corruption issue. Run the MasterGDF diagnostic
Doc ID 1360390.1 for your invoice to determine if you are experiencing any
corruption for that invoice and find the solution for your specific situation.
Unable To Validate Matched Invoice And Unable To Cancel Invoice.
How Can This Invoice Be Processed?
A: The chances are very high that this specific invoice has some
data corruption. Run the MasterGDF diagnostic Doc ID 1360390.1 for your invoice
to determine if you are experiencing any corruption for that invoice and find
the solution for your specific situation.
Invoice That Was Matched To Receipt, Discarded And Rematched Has
Doubled Matching Amounts. Unable To Cancel The Invoice And Line Cannot Be
Discarded As This Would Result In Negative Quantities On The PO. What Is The
Problem?
A: This is a data corruption issue. Run the MasterGDF diagnostic
Doc ID 1360390.1 for your invoice to determine if you are experiencing any
corruption for that invoice and find the solution for your specific situation.
Attempting To Match To A PO That Was Previously Matched And
Unmatched, Incorrectly Shows Negative Value For Billed Quantity. What Is The
Problem?
A: This is a data corruption issue. Run the MasterGDF diagnostic
Doc ID 1360390.1 for your invoice to determine if you are experiencing any
corruption for that invoice and find the solution for your specific situation.
Create Adjusting Documents (APXCADIP) Program Is Not Creating PPA
Invoices When The PO# Parameter Is Not Provided. There Are Four Parameters:
PO#, Supplier, Supplier Site And Resubmit Interface Import And None Of These
Are Mandatory Yet The Program Does Not Create The Invoice For The Standard PO
That References The Global Blanket Purchase Agreements (GBPA) That Got Updated
If The PO# Is Not Entered. Why Is This?
A: The Purchase Order for which the price is to be adjusted must be
specified so that the application knows which PO should be adjusted. An ER was
logged to allow a global Blanket PO agreement number to be entered as a
parameter so that all POs linked to this would be updated. See Doc ID 1378388.1
for more information.
Is It Possible To Enter A Different Tax Classification Code For The
Return Tax Code During A Price Correction?
A: No different taxes in the original transaction and price
correction is not feasible because a price correction will alter the item price
on the original invoice, without changing the total quantity billed.
Accordingly, the matching portion of tax (either positive or negative) needs to
be the same tax as on the original invoice. If you want to rematch the item
with different price and tax, you will need to discard the originally matched
item line, so its tax will be reversed, and rematch the shipment, this time
with the correct price and tax.
How Does The Create Debit Memo From RTS Functionality Work?
A: Review the instructions found in Doc ID 185867.1 for more
information.
Automatic Debit Memo Creation Failed When Creating a RTS
Transaction. What Could Be Wrong?
A: For an Automatic Debit Memo to be created in AP, the following
must be true:
The supplier site has to be marked to allow RTS transactions.
There must be an original invoice already in AP for the item being
returned.
The PO and the original Invoice must be to the same Supplier Site.
The Supplier Site must be marked as both a Pay Site and a
Purchasing Site.
The return quantity cannot cause the quantity invoiced to go
negative.
The return quantity must be equal to or less than the quantity
invoiced.
The Create Debit Memo checkbox must also be turned on in the
Receipt form.
The return must be to the Supplier, and not to Receiving.
If the debit memo is not created automatically, you should create
the debit memo manually in the Payables application.
Debit Memo Created For A RTS Transaction Has Terms From The
Supplier Site. Is This Correct?
A: The payment terms for a supplier site default to the invoices
you enter for the site except in the following circumstances:
You enter a PO Default or QuickMatch invoice in the Invoice
Workbench, in which case the terms default from the purchase order.
You import an invoice record that has payment terms specified on
the record, or the import process can derive terms from purchase order
matching. You can override the default payment terms on any invoice.So, the
debit memo is correctly picking up payment term from the supplier site.
Create Debit Memo From RTS Transaction Is Not Created When The RCV:
Processing Mode Profile Option Is Set To Online. Why?
A: When the system profile option, RCV: Processing Mode is set to
Online, no Debit Memo is created in Payables. Set the option to Immediate so
the debit memo will be generated in Payables.
Create Debit Memo From RTS Errors AP_CANNOT_ASSIGN_DOC_SEQ.
What Is The Problem?
A: Ensure that the seeded Document Category is the one assigned to
the set of books for successful creation of automatic / RTS Debit memos
Price Hold Not Released When Entering Credit Memo. How Can
This Be Released?
A: Use one of the following methods to resolve this issue:
Match the credit memo to the PO with price correction enabled and
the related invoice selected.
Match the
credit memo to the invoice which is matched to the PO in question and validate
both the invoice and the credit memo.
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