- Create
Standard Invoice in AP (Enter Asset Clearing Account
in Distributions (Asset Category), Validate, Create Accounting).
- Pay
the Invoice in full (Format, Create Accounting).(Optl)
- Run
Payables Transfer to General Ledger (Only invoices that are
transferred to GL will be transferred to FA).
- Run
Mass Addition Create in AP (GL date should be Invoice GL
date).
- Run
Mass Additions Create Report in FA (View output to confirm
the process).
- Navigate
to Prepare Mass Additions in FA (Query based on AP invoice
number, change the Queue to Post, add the required fields and click on
done).
- Navigate
to Post Mass additions (Run the program).(New Asset number
for the above process will be in the output file,Now the asset is ready).
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Saturday, 13 May 2017
AP TO FA FLOW
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