Enter External Voucher Basic Data
Explanation
This activity is used to view, enter, and
modify the rules that
apply for managing external voucher transactions. 
  
Prerequisites
Before entering the parameters, the following must be completed: 
  - The company must exist in IFS Financials.
- The referenced voucher type must exist.
System Effects
As a result of this activity, the parameters for
handling external voucher 
transactions have been defined, which makes it possible to load voucher transactions 
from a file.
Window
External Voucher Basic Data
Related Window Descriptions
External Voucher Basic Data
Procedure
Use the following procedure to enter the parameters: 
  - Open the External 
  Voucher Parameters window 
	and create a new record.
- Enter a load type ID in the Load Type field.
- In the Voucher Type field, enter the 
	voucher type to be used as the default voucher type of the load type.
- Select the Default check box if you want 
	the load type to be the default load type for your current company.
- Select a value for the Voucher Number 
	Allocation field to specify how voucher numbers should be allocated to 
	external vouchers created using the load type.
- Select a value for the Voucher Differences 
	field to specify whether it is necessary for external voucher transactions 
	to balance when vouchers are generated to the hold table or not.
- Select a value for the Grouping Criterion 
	field to specify how the external voucher transactions should be grouped to 
	create vouchers.
- Specify whether the voucher date should be equal 
	to the load date or the transaction date by selecting the relevant value for 
	the Set Voucher Date field.
- Select the Changeable check box if you want 
	it to be possible to do modifications to transactions in the External 
	Vouchers window after they are loaded.
- If it should be possible to create a correction 
	voucher for transactions, select the Use Correction Rows check box.
- Select a value for the Validate Code String  field 
	to specify whether the code string should be validated when external 
	vouchers are checked.
- Select the Use Code String Completion check 
	box if you want the code part values defined in the external vouchers, for 
	any code string completion defined in the Code String Completion 
	window to be fetched when the external vouchers are checked.
- Specify whether the tax amount should be 
	automatically calculated when it is not included in the external file loaded 
	by selecting a value for the Auto Tax Calculation field.
- Select the Check When Loaded check box if 
	the transactions should be checked/controlled directly after they are 
	loaded.
- Select the Create When Checked check box if 
	the vouchers should be automatically created directly after they are 
	checked.
- Select the Allow Partial Create check box 
	if the system should allow vouchers to be created for transactions without 
	errors even if there are other transactions with errors in the same load.
- Save the information.