About Entering Optional Fields on Invoices

If you use Sage 300 Transaction Analysis and Optional Field Creator and you have set up system-wide optional fields, you can define optional fields for the A/P Invoice Entry screen.

You define optional fields for invoices and invoice details using the A/P Optional Fields Screen in the A/P Setup folder. For more information, see A/P Optional Fields Screen.

When you enter a new invoice, debit note, or credit note, Accounts Payable displays any invoice optional fields that are marked for automatic insertion, along with their default values.

The Optional Fields check box on the Invoice Entry screen shows whether a selected document uses optional fields.

Note: The program sets this indicator. You cannot select or clear it. If you delete all the optional fields associated with the document, the program resets the Optional Fields indicator.

Assigning Optional Fields to Documents

You can view or change the optional fields assigned to an invoice, debit note, or credit note, as follows:

You can change the value that appears for an optional field, as follows:

Optional Fields for job‑related Details

On a job‑related invoice, if the detail optional fields are identical to the optional fields used for the contract project in Project and Job Costing, Accounts Payable uses the optional field values from the project as default values for the details.

If an optional field you assign to an invoice detail is not used in the contract project, the default value from the optional field record appears.

If the optional fields match the optional fields defined for Project and Job Costing billings, the optional field information is passed to Project and Job Costing when you post the invoice.

Optional Fields for Retainage Document Details

On retainage documents, the optional fields and values specified on the original documents are used as defaults for the related retainage invoices, retainage credit notes, and retainage debit notes, whether you enter the retainage documents manually or create them using Create Retainage Batch.

Updating General Ledger

Accounts Payable transfers optional field information to General Ledger when you create transactions for General Ledger if:

The General Ledger accounts can include: