• A Confluence está sendo executada atualmente com todos os plugins que não são do sistema desabilitados. Pode haver perda de algumas funcionalidades
Páginas filhas
  • 532 Post Bills per Payment Bordereau

01. OVERVIEW

The standard entry 532 (Accounts payable - bill post per bordereau) is used to account for all payments made to bills in a bordereau. In this document, we will exemplify its use and main concepts.

02. EXAMPLE OF USE

03. MORE INFORMATION

Important

Bordereaux: For regular bills, the standard entry is 532. For advance bills, the standard entry is 513.

                  Bills with "Cash" as generator fact (in posting) generated by the bordereau must be accounted by LP 530.

Note: If the "Account by?" parameter is set to "Bordereau/bordereau", LP 513 will not be accounted.

04. AVAILABLE ACCOUNTING VARIABLES

  • VALOR - Variable that totals the payment amounts made on the bordereau's bills - available at online and offline accounting;
  • VALOR2 - Variable that totals the discounts applied on the bordereaux payment - available at offline accounting;
  • VALOR3 - Variable that totals the interest applied on the bordereaux payment - available at offline accounting;
  • VALOR4 - Variable that totals the fines applied on the bordereaux payment - available at offline accounting;
  • VALOR5 - Variable that totals the monetary correction applied on the bordereaux payment - available at offline accounting;
  • STRLCTPAD - contains the bordereaux numbers - available at offline accounting;
    • In the offline accounting (CTBAFIN), if the accounting entry is the aggregator of various bordereaux, this variable will be available with a list of all of them (separated by semi-colon);


Important!

In offline accounting (CTBAFIN), when the totalizer variable "VALOR" is used, records from bills (SE2), and their respective bank transfers (SE5) will not be available. For example, to build the history for LP CT5_HIST

  • Do not use SE2/SE5 fields: "Pagamento do titulo "+ SE2→E2_NUM+SE2→E2_PREFIXO+ " no borderô" + SE2→E2_NUMBOR.
  • Use fields from table SEA: "Pagamento Total Ref. Borderô: " + SEA→EA_NUMBOR + " de Emissão: " + SEA->EA_DATABOR

EA_FILIAL

EA_NUMBOR

EA_DATABOR

EA_PREFIXO

EA_NUM

EA_PARCELA

EA_TIPO

EA_FORNECE

EA_LOJA

E2_EMISSAO

E2_VENCREA

E2_VALOR

E5_DATA

E5_VALOR

E5_VLDESCO

E5_VLJUROS

D RJ 02 

CTBF01

20200120

CTB

CTBFIN087

1

NF 

CTBFIN

1

20200120

20200120

1000

20200120

1100

0

100

D RJ 02 

CTBF01

20200120

CTB

CTBFIN087

2

NF 

CTBFIN

2

20200120

20200120

1000

20200120

900

100

0

D RJ 02 

CTBF02

20200120

CTB

CTBFIN087

3

NF 

CTBFIN

1

20200120

20200120

1000

20200120

1100

0

100

D RJ 02 

CTBF02

20200120

CTB

CTBFIN087

4

NF 

CTBFIN

2

20200120

20200120

1000

20200120

900

100

0

D RJ 02 

CTBF03

20200120

CTB

CTBFIN087

5

NF 

CTBFIN

1

20200120

20200120

1000

20200120

1100

0

100

D RJ 02 

CTBF03

20200120

CTB

CTBFIN087

6

NF 

CTBFIN

2

20200120

20200120

1000

20200120

900

100

0

Attention - Important!

Behavior according to parameterization in the offline accounting - CTBAFIN
Question 13 - Account Bordereau:
1 - Total Bordereaux - Table SEA will be positioned in the last record of the bordereau list accounted in the Period/Process. 

2 - Bordereau/Bordereau - Table SEA will be positioned in the last record of each bordereau.


05. TABLES USED

  • FK2 - Posts payable
  • SE2 - Accounts payable
  • SEA - Bills sent to the bank
  • SE5 - Bank transfer
  • CT2 - Accounting entries   
  • CT5 - Standard entries


06. OTHER INFORMATION

Offline accounting - CTBAFIN - Financials - P12