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Invoice/ Credit Note Detail

Invoice/ Credit Note Detail

The detail window for an Invoice/Credit note transaction is reached when you tab from the last field on the transaction header window, or by a click on the Detail icon on the header window.

Each Invoice/Credit Note transaction can have multiple detail lines. Enter the details and values for the first detail line of the transaction. Tabbing from the last field on the detail entry window will copy the details of the line into the totals grid and display an empty detail entry window ready for the entry of the next detail line.

Depending on whether the Working Periods feature is enabled and on your Security Profile permissions, it may be possible for you to continue to post financial changes, for month end procedures, even after the posting period has been advanced; in this situation the Period becomes a drop-down and you can select the appropriate period.

Note: If you are not using the Advanced Nominal Ledger system to create your own Chart of Accounts, you are prompted to select the Analysis Code that will be used to post the transaction to the correct Nominal account.

Analysis

The analysis field will contain the default analysis code.

  • If a currency transaction is being entered, this will be the correct default for that currency.

  • Clicking the search icon will display a list window from which you can select the code you wish to use. The list will only contain codes that match the country of the Customer/Supplier entered on the header window.

  • The Nominal Update details for the selected analysis code will be displayed on the tab card to the right of the entry field.

  • If you are not using the combined transaction window, the Nominal Update information can be displayed with a right-click on the Analysis label. This will open an Analysis information window.

Category Codes

If you are using the Advanced Nominal Ledger to create your own chart of accounts using segmented or cost centre coding then you are prompted to select the categories that identify the Nominal account that is to be updated. Categories are set according to the category defaults. Some categories may be fixed (the fields are greyed out) and you cannot change. You can optionally set default categories (the category is displayed in the category field) and you must make a selection where the input field is blank. Selection is made by clicking the search icon, which will display a list window from which you can select the category code you wish to use. The Nominal Update details for the selected analysis code will be displayed on the tab card to the right of the entry field.

If the system option Use combined Detail and Total window is unticked, the transaction entry will have three separate windows: header, detail and totals.

Text

This field can contain up to about 256 characters, and will print on formatted output, such as Delivery Notes, Invoices etc.

On Transaction Reports, when Analysis Detail is selected, the Detail lines will be printed as well as the Header information, and if Notes are also selected, then the contents of this Detail field will also be printed.

On Transaction drill downs, this will be displayed for the selected Detail line, in the window below the Detail lines.

Other input fields

Net

Enter the Net value of the transaction. Tabbing from this field will automatically calculate the VAT and the Gross values. The VAT calculation will be based on the VAT code displayed.

VAT

The VAT Rate on the transaction detail is subject to Rules of Precedence. There is a general System Default, e.g. VAT Rate 1 @ 20%, but the VAT Rate used can depend upon the VAT status of the selected Supplier/Customer and/or currency/country settings. It is possible to manually enter a rate or select from the lookup list.

Gross

The gross value will be calculated by the entry of the Net value unless the transaction option Enter Gross amount is turned on. If this is the case, entering a Gross value will automatically calculate the VAT and Net amounts.

Currency

If you are using the currency module and a foreign currency account has been selected, the currency symbol will appear alongside the Gross field.

Entry of either the Net Home value or the Gross Currency value will result in the other value being calculated using the currency rate entered on the Header window.

Costing

If the Costing module is installed, two additional fields are available.

Enter the Project code in the first field. The list button can be used to open a popup list of Projects from which the code can be selected.

Enter the Cost Centre code in the second field. Once the Project code has been entered and the cursor is in the Cost Centre code field, the list button can be used to open a list of Cost Centre codes for the selected Project.

Once a Project code has been entered, you will not be permitted to leave the Cost Centre code empty. Tabbing from the empty field will also open the list of Cost Centre codes.

The entry of a Project Code and Cost Centre code may be obligatory if the Compulsory Costing option has been set in either a Sales or PurchaseAnalysis record or in a Nominal Account record.

Detail

Enter the transaction detail in this field. Tab from the Detail field to complete the detail line and open a new detail window for the entry of the next detail line.

Workflow Forms

If no WFF is attached, the pane is not visible. Any Workflow Forms are displayed in a list pane at the bottom of the window.

Double-click on a named WFF to open it.

Toolbar tasks

Header - click this icon to return to the Header window.

Totals - available if you are using the un-combined transaction entry window. Click this icon to move to the Totals window.

Transaction User Keys - click here to select Transaction User Keys.

Subcontractor - if you are using the CIS module and the selected Supplier is covered by the scheme, this icon will open a summary window detailing the tax implications of the transaction.

Clear - Values on the currently selected Detail line can be cleared using the Clear icon.

Next/ Previous - These buttons can be used to move between the Detail lines that have been created, or they can be re-selected from the Totals window.

Delete - This will delete the currently highlighted detail line.

OK/Cancel - clicking OK will save the transaction. Clicking Cancel will cancel the transaction.

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