- FINANCIAL MANAGEMENT --> SETUP --> POSTING GROUPS --> VENDOR
- Fields in Vendor Posting Group
- Payable Account--> Payables due to vendors.
- Payable Account (Interim)
- Service Chage Acc.--> Service charges due to vendors.
- Payment Disc. Debit Acc.--> Reductions in payment discounts received from vendors.
- Payment Disc. Credit Acc.--> Payment discounts received from vendors.
- Debit Curr. Appln. Rndg. Acc.--> Rounding differences that occurs when applying entries in different currencies.
- Credit Curr. Appln. Rndg. Acc.--> Rounding differences that occurs when applying entries in different currencies.
- Debit Rounding Account--> Rounding diffrences from remaining amount.--> Remaining Amount is the amount remains to be applied and is shown in the original currency.
- Payment Tolerance Debit acc.--> Purchase tolerance--> Must use together with Business Posting Group
- Payment Tolereance Credit Acc.--> Purchase tolerance--> Must use together with Business Posting Group
- Interest Account--> Interest transaction
To Assign the Vendor Posting Group to Vendor:
- Open the Vendor Card (FINANCIAL MANAGEMENT --> PAYABLES --> VENDORS)and browse to the vendor on which you want to assign the Vendor Posting Group.
- Click on Invoicing tab.
- Select a Vendor Posting Group.