The following are the fields in the Bill of Exchange Management window.
To open the window, choose
. Set the required parameters in the selection window and choose OK.
This topic documents fields and other elements in this window that either are not self-explanatory or require additional information. End of the note. |
Represents the statuses a bill of exchange can have:
|
Specify a number to locate a bill of exchange by it. |
Groups the bills of exchange according to the statuses assigned to them. Only available if you selected the status All in the selection criteria window. |
Select the bills of exchange you want to process. Only available with one of the following statuses/drawers:
|
Due date of the bill of exchange. |
Posting date of the incoming/outgoing payment document. |
Total amount paid by the bill of exchange - in local currency. |
Remarks as specified in the bill of exchange. |
Reference number assigned to the bill of exchange in the Payment Means window. |
Expands or collapses the entire display of the window. Only available if you selected the status All in the selection criteria window. |
Only available with the statuses/drawers, Sent, Generated, Deposited, and Paid. Specify how to process the selected bills of exchange. The options available depend on the selected drawer:
|
By default, the current date. Available only with the drawers Sent, Generated, Deposited or Paid. |
Only available when the Generated drawer is selected for incoming payments. Choose |
Indicates that the bank collects the bill of exchange on its due date. Available only when the Generated drawer is selected for incoming payments. |
Creates the deposit before the due date of the bill of exchange. Available only when the Generated drawer is selected for incoming payments. |
Specify the deposit norm number, which will be displayed in the OPEX file. Available only when the Generated drawer is selected for incoming payments. |
Displays the CIG and CUP codes of the BoE payments. |