Order - Customer Statement of Account
Explanation
This activity is used to view or 
print the customer statement of account. The customer statement of account 
contains all open (unpaid) customer transactions of the company, as of the date for which the statement was ordered. The customer statement of account can also be used as a 
customer confirmation statement by using the confirmation statement template 
connected to the customer to generate the report.
When the customer statement of account is printed, the information sends to 
each customer based on the details connected to the AR customer contact and 
output media; Printout, Email, Mail to Fax and XML. 
Prerequisites
In order to perform this activity, records of 
transactions which have taken place between the company and it's customers 
during the time period specified in the Customer 
Statement of Account dialog box must 
exist in the system.
The following prerequisites should be met in order to send the customer 
statement of account using output media:
	- Report should be ordered from the navigator
- IFS/Print Server and IFS/Connect has to be installed.
- Print Server Archiving has to be enabled.
- The PDF_REPORT_CREATED event must be defined and enabled.
- If the customer statement of account  should be sent as an Email, 
	select E-mail from the Communication Method field in the 
	Customer/Comm Method tab and specify the receiver's e-mail 
	address in the Value field for the respective customer. The 
	customer's AR Customer Contact should be entered using list of values 
	in the Customer/Payment tab. And also select E-mail as 
	the output media type from the Customer/Payment tab.
- If the customer statement of account  should be sent using Mail to 
	Fax, select Fax Server from the Communication Method filed in 
	the Company/Comm Method tab and specify the fax server in the
	Value field for the company.  In the Customer/Comm method 
	tab  fax should be selected as communication method and the receiver's fax 
	number should be specified in the Value field for the respective 
	customer. The customer's AR Customer Contact should be entered using 
	list of values in the Customer/Payment tab. And in the 
	Customer/Payment tab select Mail to Fax as the output 
	media type.
- If the customer statement of account  should be sent as an XML 
	file, in the Customer/Comm Method tab a communication method 
	and a corresponding Value for the communication method should be added. The 
	customer's AR Customer Contact should be entered using list of values 
	in the Customer/Payment tab. And in the Customer/Payment 
	tab select XML as the output media type.
System Effects
  
    | Confirmation 
	Statement Template | System Effect | 
  
    | Used | The customer confirmation 
	statement report will be generated for customers for whom a confirmation 
	statement template is specified in the Customer/Payment tab 
	window. This report consists of two copies of the customer statement of 
	account report. | 
  
    | Not used | The customer statement of 
	account report will be generated for all the customers with whom the company 
	has carried out transactions during the time period specified in the Customer 
Statement of Account dialog box. | 
  
When the customer statement of account is printed; 
	- The system will distribute the report to each customer based on output media 
	when the selected output media is Email or Mail to Fax. 
- The system will generate a single PDF file for all the customers having 
	output media Printout.
- The system will generate a single XML file for all the customers having 
	output media XML.
- A separate PDF files will be created in Report Archive 
	window depending on output media and language.
Window
Customer Statement of Account
Related Window Descriptions
Order Customer 
Statement of Account
Procedure
	- Open the Customer 
Statement of Account dialog box.
- Select the Document Date from the Selection Based On list 
	if you want the transactions to be reported according to the invoice 
	date/payment date. Or select Voucher Date from the Selection Based 
	On list if you want the transactions to be reported according to the 
	voucher date. The voucher date is selected by default.
- Select the Period option and enter the year and period up to which the 
	transactions should be fetched to the report. By default the Date option is selected with the system date.
- Select a value for the Template ID field from the list of values.
- Enter from/to values for the selection objects or add new selection 
	objects with from/to values according to the way you want to order the 
	report.
- In the Options tab, select a value for the 
	Ledger Status field from the list to 
	specify the ledger status of the transactions to be included in the report.
- In the Advance/Prepayment Invoices field select a value from the 
	list to indicate whether advance/prepayment invoices should be included in 
	the report. If Include is selected, advance invoices/prepayment based 
	invoices, as well as other ledger items will be included in the report. If
	Exclude is selected, advance invoices/prepayment based invoices will 
	be excluded from the report. If Only is selected, advance 
	invoices/prepayment based invoices will be included in the report, but all 
	other invoice ledger items will be excluded. 
- Enter the 
	required value for days of ageing  for Period 1, Period 2 and 
	Period 3 fields.
- Select the Exclude Advance Payments check box if you want advance 
	payments to be excluded from the report.
- Select the Exclude Payments on Account check box if you want payments 
	on account to be excluded from the report.
- Select the Non Cashed/ Open Pay Documents check box if you want to 
	exclude non cashed/open payment documents from the report.
- Select the Include Customers with No Open Items check box if you want 
	to include customers that do not have open ledger items.
- Select the Include Connected Suppliers check box if you want to 
	include transactions entered for any supplier who has the same 
	association number as any customer for whom the report is generated.
- Select the Print Separate Debit and Credit Amounts check box if you 
	want the debit amounts and the credit amounts resulting from the 
	transactions to be separately disclosed in the report.
- Select the Use Confirmation Statement Template check box if you want 
	to use the customer statement of account report as a customer confirmation 
	statement.
- Select the Print Notes check box if you want to print latest note 
	connected to each ledger item.
- Specify whether the transactions included in the report should be sorted 
	based on the Document Date or the Document No by selecting a 
	sort by option.
- Click OK to order the report.
Note: Alternatively, you can view or print this report from the Info Services Reports  window. First page of 
the report with report parameters will not be printed when you order the report 
from the navigator. Therefore to get the total report, it should be ordered from 
the 
Info Services Reports  window.