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The purpose of this page is to display all outstanding Debit balance transactions that have not been fully applied. This includes any transaction that debits the Settlement Accrual Account. From this pageFrom here, users will be able to can select a transaction to apply to a payable document. If users selected one Fisherman, Fisherman & Tender, Tender or Loan prior to clicking the Apply Documents button on the Fisherman Balances list view, the results will be filtered on the selected Fisherman, Fisherman & Tender, Tender or Loan. Else if nothing was selected on the Fisherman Balances list view, all applicable transactions will be displayed.
Software Version: YYYY.MM.DD single transaction and click the 'Apply Document' icon in the header toolbar to manually apply the selected transaction to one or more Credit balance transactions. 

Software Version: 2020.05.22 and newer

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Page Header

Toolbar IconsDescription
Apply DocumentOpens the Apply Payable Document Fishing Transactions record view. Users must select a transaction prior clicking this toolbar icon. Only one transaction can be selected at a time.
Excel
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Excel - LV
Excel - LV
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Grid Layout
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Grid Layout - Global
Grid Layout - Global
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Help
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Help - Global
Help - Global
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Inquiry Criteria

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Inquiry Criteria - Global
Inquiry Criteria - Global
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  • Include transactions through: A textbox that defaults to the current date.
  • Hide fully applied transactions: A Yes/No lookup that defaults to "Yes". If set to Yes then fully applied transactions will not be visible. 
  • Fisherman: A single-select standard lookup that defaults to the Account(s) that was selected prior to clicking the Apply Documents button on the Fisherman Balances list view. If no Account was selected, this field defaults to blank.
Refresh
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Refresh - Global
Refresh - Global
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FieldsDescription
CheckboxUsed to select one transaction to apply a document to.
Account

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Account ID
Account ID
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This is required and comes from the 'Vendor ID' field on the Fishermen & Tenders record view or Loan record view. This is only editable by changing the Fisherman, Fisherman & Tender, Tender, or Loan assigned to the transaction.

Database Fields: ERPx_APVendor.VendorID, ERPx_APTransactionHeader.VendorSK, ERPx_APTransactionLine.AccountSK, ERPx_APTransactionLine.FromDistributionAccountSK, ERPx_APTransactionLine.ToDistributionAccountSK, ERPx_APDeliveryTicketHeader.FishermanAccountVendorSK

Account Class

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Fisherman (Account) Class
Fisherman (Account) Class
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This is required and comes from the 'Vendor Class' field on the Fishermen & Tenders record view. This is only editable by changing the Fisherman, Fisherman & Tender or Tender assigned to the transaction.

Database Fields: ERPx_APVendor.VendorClassSK, ERPx_APTransactionHeader.VendorSK, ERPx_APTransactionLine.AccountSK, ERPx_APTransactionLine.FromDistributionAccountSK, ERPx_APTransactionLine.ToDistributionAccountSK , ERPx_APDeliveryTicketHeader.FishermanAccountVendorSK

Account Name

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Account Name
Account Name
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 This is required and comes from the 'Vendor Name' field on the Fishermen & Tenders record view or Loan record view. This is only editable by changing the Fisherman, Fisherman & Tender, Tender or Loan assigned to the transaction.

Database Fields: ERPx_APVendor.VendorName, ERPx_APTransactionHeader.VendorSK, ERPx_APTransactionLine.AccountSK, ERPx_APTransactionLine.FromDistributionAccountSK, ERPx_APTransactionLine.ToDistributionAccountSK, ERPx_APDeliveryTicketHeader.FishermanAccountVendorSK

Distributed Description

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Distributed Description - FA
Distributed Description - FA
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This is required for Tender Resale, AP Invoice/Credit Memo and Balance Transfer transaction types and not required for all other transaction types.For Tender Resale transaction types, this field can be edited from the 'Tender' field on the Tender Resale record view. For AP Invoice/Credit Memo transaction types, this field can be edited from the 'Vendor' field on the Invoice/Credit Memo record view. For Balance Transfer transaction types, this field can be edited from the 'Transfer Balance To - Credit' field on the Balance Transfer record view. This is only editable by changing the 'Tender', 'Vendor' or 'Transfer Balance To - Credit' fields on the associated transactions.

Database Fields: ERPx_APVendor.VendorName, ERPx_APTransactionHeader.FromVendorSK (Tender Resale), ERPx_APTransactionHeader.VendorSK (AP Invoice/Credit Memo), ERPx_APTransactionLine.ToDistributionAccountSK (Balance Transfer)

Doc Date

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Doc Date
Doc Date
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This is required and can be edited from the 'Date' field on the in the associated transaction header. This is always editable while the transaction is in a Status of New.

Database Fields: ERPx_APTransactionHeader.TransactionDate, ERPx_APDeliveryTicketHeader.TicketDate

Doc Description

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Description Comment - HeaderDescription
Comment - Header
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This is not required and can be edited from the 'Description' field on the associated transaction header. This is always editable.

Database Field: ERPx_APTransactionHeader.Description

Doc No

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Doc No
Doc No
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This is not required and can be edited from the 'Doc No' field on the in the associated transaction header. This is always editable while the transaction is in a Status of New. Depending on the transaction type, this is sometimes editable after the transaction has been posted.

Database Field: ERPx_APTransactionHeader.DocNumber

GL Date

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GL Date
GL Date
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This is required and can be edited from the 'GL Date' on the 'Properties' tab of the associated transaction. If not manually edited, this will be automatically set to match the 'Doc Date' when the transaction is saved with a Status of either Approved or Ready to Post. This is always editable while the transaction is in a Status of New.

Database Field: ERPx_APTransactionHeader.GLDate

GL Period

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GL Period
GL Period
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This is required and calculated using the 'GL Date' on the 'Properties' tab of the associated transaction. This can only be edited by changing the GL Date.

GL Year

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GL Year
GL Year
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This is required and calculated using the 'GL Date' on the 'Properties' tab of the associated transaction. This can only be edited by changing the GL Date.

Line Description

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Description - Item
Description - Item
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This is required for Adjustments, AP Invoices/Credit Memos, Tender Resales and Balance Transfers. This can be edited from the 'Description' on the Item grid of the associated transaction. This is always editable while the transaction is in a Status of New.

Database Field: ERPx_APTransactionLine.LineDescription

Original Amount

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Amount - Original
Amount - Original
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For AP Invoice/Credit Memo, Adjustment, Tender Resale and Balance Transfer transaction types, this displays the 'Extended' amount of the individual line item. For Fish Ticket transaction types, this displays the 'Amount' field. For Fisherman Sale transaction types, this displays the 'On Account' field. For Check and ACH payment transaction types, this displays the 'Amount' field for the specific check or ACH payment. This is required and can be edited by changing the Price or Quantity of line items. This can only be edited while in a Status of New.

(lightbulb) This field will display as positive (for example $100.00) when the 'Show Credit balances on the Fisherman Balance page and aging reports as:' default preference is set to "Negative". This field will display as negative (for example ($100.00)) when the 'Show Credit balances on the Fisherman Balance page and aging reports as:' default preference is set to "Positive".

Database Fields: ERPx_APTransactionLine.ExtendedAmount, ERPx_APTransactionheader.ExtendedAmount, ERPx_APDeliveryTicketHeader.TotalAmount

Transaction

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Transaction ID
Transaction ID
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Clicking on this link opens the record view for the selected transaction. This is a system assigned number that comes from the 'Transaction Class' and is required but is not editable by users.

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Def - Transaction ID
Def - Transaction ID
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Database Fields: ERPx_APTransactionHeader.TransactionID, ERPx_APDeliveryTicketHeader.TicketNumber

Transaction Type

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Transaction Type
Transaction Type
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This is required and comes from the Transaction Type selected when starting a new transaction. This is never editable. The following transaction types have the ability to debit the Settlement Accrual Account and display on this page:

  • Adjustment Lines with a positive line where the Account is selected for the 'Distributed To' field
  • Balance Transfer with a positive line where lines for the Account is selected for as the 'Transfer Balance From - Debit' field
  • AP Credit Memo with a negative line where the Account is selected in the 'Distributed To' field
  • Fish Ticket with a negative lineamount
  • Fisherman Sale with a positive line
  • AP Invoice with a positive line where the Account is selected in the 'Distributed To' field
  • Payment Check or ACH
  • Tender Resale with a positive line
  • Tender Resale Transfer (for a Fisherman) with a positive line

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Def - Transaction Types
Def - Transaction Types
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Database Fields: ERPx_APTransactionType.TransactionName, ERPx_APTransactionHeader.TransactionClassSK

Unapplied Amount

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Amount - Unapplied
Amount - Unapplied
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This is required and updates when amounts are entered in the 'Applied Amount' field on the Apply Fishing Transactions record view. This is calculated by subtracting previous applications from the original amount. This value is not stored in the database.

(lightbulb) This field will display as positive (for example $100.00) when the 'Show Credit balances on the Fisherman Balance page and aging reports as:' default preference is set to "Negative". This field will display as negative (for example ($100.00)) when the 'Show Credit balances on the Fisherman Balance page and aging reports as:' default preference is set to "Positive".

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