Select Batch of Invoices/Installments
Explanation
This activity is used to get a general idea of the invoices, payments on account, parked payments, or payments in advance that can be selected for payment or for matching with a bill of exchange or check. You can select one or more ledger items and transfer them to the respective window used for matching. When invoices have many installments, separate lines are displayed for each open installment. You can see the due date, total amount, and open amount separately for each installment. You also can see whether supplier invoices have been authorized for payment.
Open items that use the same currency as the transaction, check, or bill are displayed. Additionally:
  - If the bill of exchange or check selected for matching is in one of the EMU currencies or in EUR,
invoices in all EMU currencies are also shown.
- The Mixed Payment window displays all the invoices regardless of the currencies used.
Prerequisites
For selecting a batch of invoices to match with
transactions in the 
Mixed Payment window:
  - The payment information must be registered in the 
	 General tab of the
     Mixed Payment window, and a customer payment transaction or a supplier payment transaction must be registered in the
    
	 Transactions tab.
For selecting a batch of invoices to match with 
transactions in the 
Cash Box window:
	- Payment information must be included in the 
	
	Header Details tab of the 
	Cash Box window.
- A customer payment transaction or a supplier 
	payment transaction must be entered in the 
	Transactions tab of 
	the Cash Box window.
For selecting a batch of invoices to match with a customer
check, supplier check, customer bill of exchange, or supplier bill of exchange:
  - A customer bill of exchange must be entered in the 
	
	Customer Bills of Exchange window, a supplier bill of exchange must be entered
    in the Supplier Bills of Exchange window, a customer check must
    be registered in the Customer Check window, or a supplier check
    must be entered in the Supplier Check window.
For selecting a batch of invoices to match with manual payment:
  - The payment information must be registered in the 
	General
    tab of the Customer Payment or 
	Supplier
    Payment window.
For selecting a batch of invoices for offset:
  - The payment information must be registered in the 
	General
    tab of the Customer Offset or 
	Supplier
    Offset window.
For selecting a batch of invoices for netting:
  - The payment information must be registered in the 
	General
    tab of the Netting window.
The authorized installments can be selected.
If you want to select open items of 
another company than the current payment company, your user ID must be 
associated to the other company and connected to the relevant user data in 
IFS/Accounting Rules, User Related Data.
System Effects
As a result of this entry, invoices, installments, payments on account, parked payments, or payments in advance are selected and moved into the window used for matching.
Windows
Mixed Payment
Cash Box
Customer Bills of Exchange
Supplier
Bills of Exchange
Customer Check
Supplier
Check
Customer
Payment
Supplier
Payment
Customer
Offset
Supplier
Offset
Netting
Related Window Descriptions
Mixed Payment, 
Cash Box, 
Mixed
Payment/Transactions, 
Customer Bills of Exchange, 
Customer Check
Supplier Bills of Exchange, 
Customer Bills of Exchange, 
Supplier Check, 
Customer Check, 
Customer Payment, 
Customer
Payment/Transactions, 
Supplier Payment, 
Supplier
Payment/Transactions, 
Customer Offset, 
Customer Offset/Transactions,
Supplier Offset, 
Supplier Offset/Transactions, 
Netting, 
Netting/Customer
Invoices/Prepayments, 
Netting/Supplier
Invoices/Prepayments, 
Matching (in the windows: 
Customer
Bills of Exchange, Customer Check, 
Supplier Bills of Exchange,
Supplier Check), 
Matching, Select Batch (in the windows: 
Mixed
Payment, Customer Bills of Exchange, 
Customer Check,
Supplier Bills of Exchange, 
Supplier Check), 
Select Batch (in the
windows: Customer Payment, 
Supplier Payment), 
Select Batch (in the windows: 
Customer
Offset, Supplier Offset, 
Netting)
Procedure
To select a batch of invoices, installments, payments on account, parked
payments, payments in advance to match with transactions 
in mixed payment:
  - Open the 
	 Mixed Payment window, and click the 
	 Transactions tab.
- Select the transaction for which you want to match ledger items.
- Click the Matching Transactions sub tab 
	and then click  Sel Batch. The  Select Batch of 
	Invoices dialog box opens.
- If the Auto Populate check box is not 
	selected, either click
     Query and enter your selection, or click  Populate to display all the available records.
- Select one or more open invoices, installments, payments on account, parked payments, or payments in advance for matching.
- If you want the  Select Batch of 
	Invoices dialog box to be automatically populated the next time it is opened, 
	select the Auto Populate check box.
- If you want the items displayed in the  Select Batch of 
	Invoices dialog box to be automatically sorted by 
	the company, series Id and the invoice/prepayment number respectively the 
	next time it is populated, select the Auto Sort check box. 
- If you want the ledger items that are posted to 
	other companies connected to the currently used user ID, displayed in the 
	 Select Batch of 
	Invoices dialog box the next time it is populated, 
	select the Multi Company check box.
- Click OK  to transfer the selected
    open items to the Matching Transactions  window.
To select a batch of invoices, installments, payments on account, parked
payments, payments in advance to match with transactions in cash box:
  - Open the Cash Box window, and select 
	the 
	 Transactions tab.
- Select the transactions for matching, choose the 
	right mouse button 
	option  Match
    Payment to open the 
	Matching window.
	
- In the 
	 Matching window, click  Sel Batch to open the 
	 Select Batch of 
	Invoices dialog 
	box.
- If the Auto Populate
	check box is not selected, either click
     Query and enter your selection, or click  Populate to display all the available records.
- Select one or more open invoices, installments, payments on account, parked payments, or payments in advance for matching.
- If you want the  Select Batch of 
	Invoices  dialog box to be automatically populated the next time it is opened, 
	select the Auto Populate check box.
- If you want the items displayed in the  Select Batch of 
	Invoices  dialog box to be automatically sorted by 
	the company, series Id and the invoice/prepayment number respectively the 
	next time it is populated, select the Auto Sort check box. 
- Click OK  to transfer the selected
    open items to the Matching  window.
To select a batch of invoices, installments, payments on account,
parked payments, payments in advance to match with customer bill of exchange,
customer check, supplier bill of exchange or supplier check: 
  - Depending on what type of item you will be matching, open the 
	 Customer Bills of
    Exchange,  Supplier Bills of Exchange, 
	 Customer
    Check, or  Supplier Check window. 
- Select the item(s) for matching, right-click and then click  Matching\View
    Invoices. 
- If the Auto Populate
	check box is not selected, either click
     Query and enter your selection, or click  Populate to display all available records. 
- Select one or more open invoices, installments, payments on account, parked payments, or payments in advance for matching.
- If you want the  Select Batch of 
	Invoices dialog box to be automatically populated the next time it is opened, 
	select the Auto Populate check box.
- If you want the items displayed in the  Select Batch of 
	Invoices dialog box to be automatically sorted by 
	the company, series Id and the invoice/prepayment number respectively the 
	next time it is populated, select the Auto Sort check box. 
- If you want the ledger items that are posted to other companies connected to the currently used user ID, displayed in the 
	 Select Batch of 
	Invoices  dialog box the next time it is populated, 
	select the Multi Company check box.
- Click OK  to transfer the selected
    open item(s) to the 
	Matching  window.
To select batch of invoices, installments, payments on account, parked
payments, payments in advance to match with manual payment:
  - In the Customer Payment
    window or Supplier Payment window, click the 
	Transactions tab.
- Right-click and then click Select Batch. The 
	 Select Batch of 
	Invoices dialog box appears.
- If 
	the Auto Populate check box is not selected, either click
     Query and enter your selection, or click  Populate to display all available records. Select one or more open invoices, installments, payments on account, parked payments, or payments in advance for matching.
- If you want the  Select Batch of 
	Invoices  dialog box to be automatically populated the next time it is opened, 
	select the Auto Populate check box.
- If you want the items displayed in the  Select Batch of 
	Invoices  dialog box to be automatically sorted by 
	the company, series Id and the invoice/prepayment number respectively the 
	next time it is populated, select the Auto Sort check box. 
- If you want the ledger items that are posted to 
	other companies connected to the currently used user ID, displayed in the 
	 Select Batch of 
	Invoices  dialog box the next time it is populated, 
	select the Multi Company check box.
- Click OK  to transfer the selected
    open item(s) to the 
	Transactions tab.
To select batch of invoices, installments, payments on
account, parked payments, payments in advance for offset:
  - In the Customer Offset
    
    window or Supplier Offset
    
    window, click the 
	Transactions 
	tab.
- Right-click and then click Select Batch. The 
	 Select Batch of 
	Invoices dialog box appears.
- If 
	the Auto Populate check box is not selected, either click
     Query and enter your selection, or click  Populate to display all available records. Select one or more open invoices, installments, payments on account, parked payments, or payments in advance for matching.
- If you want the  Select Batch of 
	Invoices  dialog box to be automatically populated the next time it is opened, 
	select the Auto Populate check box.
- If you want the items displayed in the  Select Batch of 
	Invoices  dialog box to be automatically sorted by 
	the company, series Id and the invoice/prepayment number respectively the 
	next time it is populated, select the Auto Sort check box. 
- If you want the ledger items that are posted to 
	other companies connected to the currently used user ID, displayed in the 
	 Select Batch of 
	Invoices dialog box the next time it is populated, 
	select the Multi Company check box.
- Click OK to transfer the selected
    open item(s) to the 
	Transactions tab.
To select batch of invoices, installments, payments on
account, parked payments, payments in advance for netting:
  - In the Netting window, click the 
	Supplier
    Invoices/Prepayments tab.
- Right-click and then click Select Batch. The 
	 Select Batch of 
	Invoices dialog box appears.
- If 
	the Auto Populate check box is not selected, either click
     Query and enter your selection, or click  Populate to display all available records. Select one or more open invoices, installments, payments on account, parked payments, or payments in advance for matching.
- If you want the  Select Batch of 
	Invoices dialog box to be automatically populated the next time it is opened, 
	select the Auto Populate check box.
- If you want the items displayed in the  Select Batch of 
	Invoices dialog box to be automatically sorted by 
	the company, series Id and the invoice/prepayment number respectively the 
	next time it is populated, select the Auto Sort check box. 
- If you want the ledger items that are posted to 
	other companies connected to the currently used user ID, displayed in the 
	 Select Batch of 
	Invoices  dialog box the next time it is populated, 
	select the Multi Company check box.
- Click  OK to transfer the selected open item(s) to the 
	Supplier
    Invoices/Prepayments tab. 
- In the  Netting window, click the 
	Customer Invoices/Prepayments tab. Repeat steps 2 through 4 to select a batch of customer invoices, installments, payments on account, parked payments, or payments, and transfer them into the  
	Customer Invoices/Prepayments tab.