Procure To Pay Cycle Process
1. Create a Standard Purchase order.
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2. Give Shipments
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3. Give Distributions
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4. Approve PO
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5. See the status of the PO In The header level: It is approved.
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6. Go to the ReceivingàReceipts
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7. Give the sub inv and stock locator where you want store the goods. And Save.
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8. View the request status and refresh If not Completed.
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9. Run the Program Pay on receipt auto invoice.(Which Generate Invoice Automatically)
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10. View the Status of the program and refresh if not completed.
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11. Go to Payables: InvoiceàEntry àInvoice
Query with the Invoice Num ERS%
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12. Validate the Invoice .After Validate Enable the creating Accounting check box.
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13.See The Account
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14. Enable the check box Pay in full. And Pres ok.
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15. Select the Bank and Go to Actions
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16. Enable the check box Create Accounting and press ok.
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17. See the Account Created.
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18. Now see the invoice status validated, accounted and amount paid.
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19. Go to Cash Management: Bank Statementsà Manual clearing. àClear Transactions
Find the Bank Account.
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20. Enable the Transaction and press Clear Transaction Button.
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21. Go to Payables: PaymentàEntryàPayment
Query with Payment Date
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22. Go to actions, enable Create Accounting and press ok.
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23. See the Account created.
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24. Run: Payables Transfer to General Ledger.
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25.View the Request status and refers if not completed.
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26.Got to GL:JournalàImportàRun
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27.View the request status and refers if not completed.
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28. Go to JournalsàEnter .Find with Source as Payables.
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29.Now We can Post the journals.
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2. Give Shipments
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3. Give Distributions
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4. Approve PO
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5. See the status of the PO In The header level: It is approved.
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6. Go to the ReceivingàReceipts
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7. Give the sub inv and stock locator where you want store the goods. And Save.
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8. View the request status and refresh If not Completed.
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9. Run the Program Pay on receipt auto invoice.(Which Generate Invoice Automatically)
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10. View the Status of the program and refresh if not completed.
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11. Go to Payables: InvoiceàEntry àInvoice
Query with the Invoice Num ERS%
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12. Validate the Invoice .After Validate Enable the creating Accounting check box.
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13.See The Account
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14. Enable the check box Pay in full. And Pres ok.
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15. Select the Bank and Go to Actions
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16. Enable the check box Create Accounting and press ok.
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17. See the Account Created.
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18. Now see the invoice status validated, accounted and amount paid.
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19. Go to Cash Management: Bank Statementsà Manual clearing. àClear Transactions
Find the Bank Account.
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20. Enable the Transaction and press Clear Transaction Button.
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21. Go to Payables: PaymentàEntryàPayment
Query with Payment Date
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22. Go to actions, enable Create Accounting and press ok.
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23. See the Account created.
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24. Run: Payables Transfer to General Ledger.
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25.View the Request status and refers if not completed.
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26.Got to GL:JournalàImportàRun
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27.View the request status and refers if not completed.
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28. Go to JournalsàEnter .Find with Source as Payables.
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29.Now We can Post the journals.
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