Cash Supplier Bill of Exchange Mixed Payment
Explanation
This activity is used to cash a supplier 
Bill of Exchange. The cashing takes place when the Bill of Exchange is posted to 
an interim cash account. The confirmation by the relevant payment institute that 
the bill is cashed can be used as the basis for reporting in IFS Applications.
Prerequisites
In order to perform this activity:
	- A mixed payment of the  NotApproved 
	status should exist.
- A supplier Bill of Exchange of the 
	Created status should exist.
System Effects
As a result of this activity, the following system 
effects take place once the mixed payment is approved.
	- The supplier Bill(s) of Exchange amount will be 
	included in the voucher created in the hold table. The amount will be 
	debited based on the posting rules defined for the PP26 posting type. 
	This amount will be credited from a bank account based on the posting rules 
	defined for the PP1 posting type.
- The status of the supplier Bills of Exchange 
	selected for cashing will change to Settled.
Window
Mixed Payment
Related Window Descriptions
Mixed Payment
Mixed Payment/Transactions
Procedure
To cash a supplier Bill of Exchange:
	- Open the 
	Mixed Payment window and 
	query for the mixed payment you want to use for cashing the supplier Bill of 
	Exchange.
- Create a new record in the Transactions 
	tab. 
- Select Cash Supplier BoE for the Payment 
	Transaction Type field. 
- In the Document Series ID field, enter the 
	document series ID of the supplier Bill of Exchange you want to cash. Enter 
	the document number of the same in the Payment Doc No field. The List 
	of Values can be used to select the relevant values for both fields.
- Save the information.
To select multiple supplier Bills of Exchange for 
cashing:
	- Open the 
	Mixed Payment window and 
	query for the mixed payment you want to use for cashing the supplier Bills of 
	Exchange.
- Click on the Transactions tab.
- Right-click on the table and then click Open 
	Supplier Bills to open the 
	Cash Supplier BoE dialog box.
- Select the supplier Bills of Exchange you want to 
	cash and click OK. A transaction of the Cash Supplier BoE 
	transaction type will be created for each supplier bill of exchange you 
	selected.
- Make any modifications to the transaction lines 
	created if required.
- Save the information.