Use this tab to specify the required sales information.
To access this tab, choose
.Opens the Control Accounts – Accounts Receivable window, in which you define default G/L accounts for customers. |
Select if you want to assign different control accounts to different customers. Assigning control accounts to each customer is done in the Business Partner Master Data window. If this option is not selected, the control accounts defined in the Control Accounts – Accounts Receivable window are used for all customers. |
Define the respective collective accounts for posting sales to domestic, EU, or other foreign customers. SAP Business One posts all sales to customers to this collective account, making your current total sales available at any time. All transactions are also posted to the specific customer accounts. |
Define the accounts for posting customer payments with checks or in cash. You will usually specify the check register and cash register. |
If you perform one-time sales (that is, the payment is made at the same time that the A/R invoice is generated), enter the code of the one-time customer, to which you will generate the A/R invoice + payment document whenever a one-time sale is made. |
Define these accounts if you want SAP Business One to handle cases in which the incoming payment amount is slightly different from the A/R invoice(s) amount paid. SAP Business One compares the amount paid to the amount due, and if the difference is less than the amount defined in the Incoming Amt Diff. Allowed or Incoming % Diff. Allowed field of the Currencies - Setup window under , the application automatically creates the appropriate transaction. |
Define a default clearing account to be used when adding A/R down payment invoices. G/L accounts defined as control accounts cannot be selected. |
Select accounts to be used as default accounts for journal entries created to reflect loss and gain caused by exchange rate differences. |
Select accounts to use as default accounts for journal entries created to reflect gain and loss caused by conversion differences in sales transactions.
The fields are available only if the system currency is different from the local currency. End of the note. |
Define an account to be used as the default when a cash discount is used. |
Select a control account to be used as the default when a transaction of revenues is posted, for example, an A/R invoice. |
Select a control account to be used as the default when a transaction of revenues is created for a foreign customer.
A customer is indicated as foreign if the country in the bill-to address is different from the country in which the company is located. End of the note. |
Select a control account to be used as the default when a transaction of revenue is created for a customer from a country within the European Union (but not the country in which the company is located).
A customer is indicated as an EU customer according to the country defined in the ship-to address. End of the note. |
Select a control account to be used as the default when a credit transaction of revenue is created, for example, an A/R credit memo. |
Select a control account to be used as the default when a credit transaction of revenue is created for a foreign customer.
A customer is indicated as foreign if the country in the bill-to address is different from the country in which the company is located. End of the note. |
Select a control account to be used as the default when a credit transaction of revenue is created for a customer from a country within the European Union (but not the country in which the company is located).
A customer is indicated as an EU customer according to the country defined in the ship-to address. End of the note. |
Define the account for posting interest on overdue amounts included in a dunning letter. |
Define the account for posting fees that are charged in a dunning letter. |
Optionally, specify other receivable accounts. |
Select a tax code to be used as the default tax code when creating a new customer. Only valid A/R tax codes are available in this field. |
Specify an account to be used by default for posting A/R down payment invoices. You cannot select G/L accounts marked as Control Account in the chart of accounts.
In Brazil localization, you do not need to specify the CFOP field for down payment invoices. End of the note. |
The company maintains withholding tax in sales transactions. Once you select this option, the following fields appear:
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Specify the default withholding tax code for new business partners.
This field is not available for Brazil. End of the note. |
Specify the expiration date of the tax certificate that your company holds.
This field is not available for Brazil. End of the note. |
Specify the tax certificate number.
This field is not available for Brazil. End of the note. |
Select the G/L account to use when creating an incoming payment based on an A/R down payment request. |
Define a default tax group to use when creating sales transactions for items and services. |
Select the withholding tax code to use as the default withholding VAT tax code for new customers. |
Select the withholding income tax code to use as default for new customers who are marked as liable to withholding tax. |