A/P Invoice Entry Screen

Overview

Note: Depending on how your system is set up, this desktop screen may also be available as a web screen. For more information, see the Web Screens Getting Started Guide or the help for Sage 300 web screens.

Use the A/P Invoice Entry screen to:

Note: You can use the Quick Mode option on the Settings menu to copy many of the fields from the previous transaction or detail to a new transaction or detail, so you don't have to re-enter them. For more information, see Menu Commands.

Document Tab

Use this tab to:

Optional Fields Tab

Note: This tab appears only if you use Sage 300 Transaction Analysis and Optional Field Creator and you have defined optional fields for Accounts Payable invoices.

Use this tab to:

Automatically inserted invoice optional fields appear on the Invoice Entry Optional Fields tab when you add new documents.

Automatically inserted invoice details optional fields are associated with each detail line. The Optional Fields indicator field on the detail table and on the Detail Accounts/Taxes screen shows whether optional fields are used with a particular detail.

To add, edit, or delete invoice detail optional fields, select the detail, then click the Optional Fields Zoom Zoom button button to open a separate Optional Fields screen that lets you change the optional field information for the detail.

If an optional field uses validation, you can select only entries that are defined for the optional field in Common Services.

For more information about entering invoice detail optional fields on invoices, see About Entering Optional Fields on Invoices.

Rates Tab

Note: This tab appears only if you use multicurrency accounting, and you are entering a document for a vendor that does not use the functional currency.

Use this tab to change the rate type, rate date, and exchange rate for converting the document amount from the vendor's currency to the functional currency.

Retainage Tab

Note: This tab appears if you select the Retainage option on the Document tab.

Use this tab to specify how to process retainage for this invoice, debit note, or credit note.

The program displays the retainage percentage, retainage rate, and the retainage terms from the vendor record. Unless the document is job‑related , you can change these retainage factors for a particular document.

If the document is job‑related , you can change only the retainage rate and retainage terms on this tab. You enter job‑related retainage amounts, retention periods, and retainage due dates with each job detail.

Accounts Payable calculates and displays the retainage amount and retainage due date for the selected document. You can change these fields, whether or not the document is job‑related .

For more information about processing retainage, see About Processing Retainage in Accounts Payable.

Taxes Tab

Use this tab to:

Notes:
  • To change the tax authorities listed on this tab, you must select a different tax group on the Document tab.
  • To change the tax rates, you must use the Tax screens in Common Services.

Terms Tab

Use this tab to:

A payment schedule is created only if the invoice terms code uses the Multiple Payment Schedule option.

Multiple Payment Schedules

Accounts Payable adds a Payment Schedule to the Terms tab if you assign a terms code that uses a multiple payment schedule (for a number of payments over a period of time such as six monthly payments).

The payment schedule divides the invoice total into the number of payments specified by the terms code. Each payment has its own due date, payment amount, and discount period, which is displayed on the Terms tab of the Invoice Entry screen. If you want, you can change any dates on the schedule, as well as decrease the number of payments (by making later payments blank).

You can use multiple payment schedules with Intercompany Transactions.

You can print payment schedules on batch listings if you select the Show Schedules option when printing listings of invoice batches from the Batch Listing screen.

Totals Tab

Use this tab to see the amount of recoverable tax, separately expensed tax, and allocated tax, and to see why an invoice has an undistributed amount.

The Totals tab displays the total tax amount on the invoice for each taxing authority, as well as current totals for the document in two summaries: an invoice summary and a tax summary.

Recoverable and Separately Expensed Taxes

The tax authority record in Tax Services specifies whether a particular tax is recoverable or expensed separately. For example, the GST in Canada and VAT in many other countries are recoverable taxes and are not distributed with invoice totals.

When you click the Dist. Taxes button, Accounts Payable: