Suppliers are used for Purchase Ordering and to identify who you purchased from. Also, we can use this information when posting to the finance system.
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Finance System Posting Information added to a new supplier will post a new supplier account in your finance system; Many of the fields are designed to be sent through to the finance system however you will need to complete the setup in your finance system and afterward information from the finance system will be used in this screen. |
The fields in the header section - Account, Name, and Supplier of - should be filled mandatorily. Tabs on this page are explained below.
Supplier Maintenance Tabs:
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Supplier Details
Credit Control
VAT Details
The VAT Code and the Currency are mandatory fields and need to be entered or looked up using the F11 function.
Credit Review
This contains the Memo field.
Bank Details
Defaults
Nominal Account → This can be used to override the Default Nominal codes for this specific supplier.
Discounts
Set the percentage of discount that can be provided.
Export Option Details
When using the POP Documents option to print or email the purchase order, this section is used to determine what would normally happen for this supplier.
You can select how you would like to receive PO Acknowledgement - by email or print or both ways.
Country Specific PO Acknowledgement → This is only applicable for FR suppliers where the purchase order will be sent in French.
Contacts
Products
For customers, SOPs communicated to the warehouse now contain the customer's own product code, should the warehouse wish to output this information on delivery notes etc. The customer's product code is now also available on sales invoice templates alongside the company's product code.
For suppliers, similar changes to POP have been made as described for SOP above but for the POP documentation only, this information is not submitted to the warehouse.