Difference between revisions of "Information Systems:CCP - Miscellaneous Billing"
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(Created page with "==Co-op Fees== These are entered onto the contract. 2/09/16 12:12:49 uniPHARM -- PRODUCTION CXRIU410/UPDATE UPDATE UX - Enter/Update Cont...") |
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| + | In the 'contract' part of CCP (Customer/Contract Pricing), we can enter rebates from the vendor. COOP, which are co-op fees as the contract level, or VEDI, which are vendor debits at the item level. |
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| + | |||
| + | Bills to the vendor or rep are generated automatically, based on the entered parameters. |
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| + | |||
==Co-op Fees== |
==Co-op Fees== |
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| − | These are entered |
+ | These are entered at the contract level. |
2/09/16 12:12:49 uniPHARM -- PRODUCTION CXRIU410/UPDATE |
2/09/16 12:12:49 uniPHARM -- PRODUCTION CXRIU410/UPDATE |
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'''Added by User/Date Last Updated User/Dte Posted Date''' |
'''Added by User/Date Last Updated User/Dte Posted Date''' |
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SHELLYL JUN 12 14 SHELLYL JUN 12 14 JUL 31 14 |
SHELLYL JUN 12 14 SHELLYL JUN 12 14 JUL 31 14 |
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| + | '''Timing''' determines when the bill is generated. |
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| + | |||
| + | FIRST SALE First day of the sale |
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| + | LAST SALE Last day of the sale |
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| + | PO RECEIPT Receipt of the first PO |
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| + | SPEC DATE On billing date specified |
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| + | |||
| + | '''Billing Basis''' determines how to calculate the amount of the fee. |
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| + | |||
| + | AMTPURCH % of Total amount purchased |
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| + | AMTSOLD % of Total amount sold |
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| + | FIXEDAMT Fixed amount |
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| + | UNITPURCH $ per unit purchased |
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| + | UNITSOLD $ per unit sold |
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| + | |||
| + | '''Method''' determines how the vendor or rep is to be billed. |
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| + | |||
| + | APCRD A/P credit |
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| + | APCS A/P car stock |
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| + | APDED A/P Deduction |
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| + | ARCHQ A/R Cheque |
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| + | REPRT Report only |
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| + | |||
| + | ==Vendor Debit== |
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| + | |||
| + | These are entered at the item level. |
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| + | |||
| + | 2/09/16 12:32:54 uniPHARM --Volume test CXRIU330/UPDATE |
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| + | UPDATE UX - Enter Contract Item Further Details VOLUME 1.00 |
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| + | |||
| + | '''Contract # Vendor # Broker #''' |
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| + | SH-DL-0811 ZERO BARS 22547 22547 |
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| + | |||
| + | '''Item''' |
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| + | R 00874529 ZERO BARS GOLD 50GM DARK |
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| + | |||
| + | '''Seq # Type For Warehouse Timing $ or % UOM Margin %''' |
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| + | 22 VEDI VEND *ANY PO REC 1.930 CAD BX |
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| + | |||
| + | '''Applies to Acct Effect EDL Zone Price List Rebates?''' |
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| + | NET VEND APDED *ANY *ANY N |
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| + | |||
| + | '''Bill on Date Send Bill to Billing Line Description Bill Backs?''' |
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| + | 00 00 10843 N |
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| + | |||
| + | '''Added by User/Date Last Upd by User/Date Posted Date''' |
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| + | NORMAM AUG 10 15 NORMAM AUG 10 15 AUG 16 15 |
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Revision as of 13:34, 9 February 2016
In the 'contract' part of CCP (Customer/Contract Pricing), we can enter rebates from the vendor. COOP, which are co-op fees as the contract level, or VEDI, which are vendor debits at the item level.
Bills to the vendor or rep are generated automatically, based on the entered parameters.
Co-op Fees
These are entered at the contract level.
2/09/16 12:12:49 uniPHARM -- PRODUCTION CXRIU410/UPDATE
UPDATE UX - Enter/Update Contract Level Billing PRODUCTION 1.00
Contract #
BNA007BLIS BLISTEX JULY MEMO
Seq # Class Timing Billing Date
10 COOP LAST SALE Last day of the sale 00 00
For Cust/Vend/Broker
BROK 10102 BLISTEX/ZARINA CONFECTIONER
Method Bill Basis $/Funds % $ per Unit
APDED FIXEDAMT 250.00 CAD .000 .000
Cost Centre Project Acct Bypass
IFP 007 N
Added by User/Date Last Updated User/Dte Posted Date
SHELLYL JUN 12 14 SHELLYL JUN 12 14 JUL 31 14
Timing determines when the bill is generated.
FIRST SALE First day of the sale LAST SALE Last day of the sale PO RECEIPT Receipt of the first PO SPEC DATE On billing date specified
Billing Basis determines how to calculate the amount of the fee.
AMTPURCH % of Total amount purchased AMTSOLD % of Total amount sold FIXEDAMT Fixed amount UNITPURCH $ per unit purchased UNITSOLD $ per unit sold
Method determines how the vendor or rep is to be billed.
APCRD A/P credit
APCS A/P car stock
APDED A/P Deduction
ARCHQ A/R Cheque
REPRT Report only
Vendor Debit
These are entered at the item level.
2/09/16 12:32:54 uniPHARM --Volume test CXRIU330/UPDATE
UPDATE UX - Enter Contract Item Further Details VOLUME 1.00
Contract # Vendor # Broker #
SH-DL-0811 ZERO BARS 22547 22547
Item
R 00874529 ZERO BARS GOLD 50GM DARK
Seq # Type For Warehouse Timing $ or % UOM Margin %
22 VEDI VEND *ANY PO REC 1.930 CAD BX
Applies to Acct Effect EDL Zone Price List Rebates?
NET VEND APDED *ANY *ANY N
Bill on Date Send Bill to Billing Line Description Bill Backs?
00 00 10843 N
Added by User/Date Last Upd by User/Date Posted Date
NORMAM AUG 10 15 NORMAM AUG 10 15 AUG 16 15