Vendor Posting Group Setup

Vendor Posting Group In Navision

  • FINANCIAL MANAGEMENT --> SETUP --> POSTING GROUPS --> VENDOR
  • Fields in Vendor Posting Group
  1. Payable Account--> Payables due to vendors.
  2. Payable Account (Interim)
  3. Service Chage Acc.--> Service charges due to vendors.
  4. Payment Disc. Debit Acc.--> Reductions in payment discounts received from vendors.
  5. Payment Disc. Credit Acc.--> Payment discounts received from vendors.
  6. Debit Curr. Appln. Rndg. Acc.--> Rounding differences that occurs when applying entries in different currencies.
  7. Credit Curr. Appln. Rndg. Acc.--> Rounding differences that occurs when applying entries in different currencies.
  8. Debit Rounding Account--> Rounding diffrences from remaining amount.--> Remaining Amount is the amount remains to be applied and is shown in the original currency.
  9. Payment Tolerance Debit acc.--> Purchase tolerance--> Must use together with Business Posting Group
  10. Payment Tolereance Credit Acc.--> Purchase tolerance--> Must use together with Business Posting Group
  11. Interest Account--> Interest transaction

To Assign the Vendor Posting Group to Vendor:

  1. Open the Vendor Card (FINANCIAL MANAGEMENT --> PAYABLES --> VENDORS)and browse to the vendor on which you want to assign the Vendor Posting Group.
  2. Click on Invoicing tab.
  3. Select a Vendor Posting Group.
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Jubel Thomas

{picture#https://plus.google.com/u/0/photos/116645982191572612106/albums/profile/5718535508567382818} Having 9+ years of Dynamics NAV Experience with Modules like Finance, Sales, Manufacturing, Warehouse, Purchase, Human Resource etc. Also know LS retail, Dynamics AX, Business Intelligence. {facebook#https://www.facebook.com/Navision-Planet-347570178709579/} {twitter#https://twitter.com/NavisionPlanet}

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