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Contents
List of Figures
Title and Copyright Information
Preface
Audience
JD Edwards EnterpriseOne Products
JD Edwards EnterpriseOne Application Fundamentals
Documentation Accessibility
Related Documents
Conventions
1
Introduction to JD Edwards EnterpriseOne Localizations for Norway
1.1
JD Edwards EnterpriseOne Localizations for Norway Overview
1.2
JD Edwards EnterpriseOne Localizations for Norway Implementation
1.3
Understanding Translation Considerations for Multilingual Environments
1.4
Understanding Translation Routines
1.5
Setting Up User Display Preferences
1.5.1
Understanding User Display Preferences
1.5.2
Form Used to Set Up User Display Preferences
1.5.3
Setting Processing Options for User Profile Revisions (P0092)
1.5.3.1
A/B Validation
1.5.3.2
PIM Server Setup
1.5.4
Setting Up User Display Preferences
2
Understanding Localizations for Norway
2.1
Norway-Specific Setup and Processes
3
Setting Up Localizations for Norway
3.1
Setting Up Bank Information for Suppliers for Norway
3.2
Setting Up Additional Bank Information for Foreign Suppliers
3.2.1
Understanding Additional Bank Information for Foreign Suppliers
3.2.2
Prerequisites
3.2.3
Forms Used to Set Up Additional Bank Information for Foreign Suppliers
3.2.4
Setting Up Additional Bank Information for Foreign Suppliers
3.2.5
Overriding Additional Bank Information
3.3
Setting Up Enterprise Information for Norway
3.3.1
Understanding Enterprise Information for Norway
3.3.2
Form Used to Set Up Enterprise Information for Norway
3.3.3
Setting Up Enterprise Information for Norway
3.4
Setting Up Payment Formats for Norway
3.4.1
Understanding Payment Formats for Norway
3.4.2
Setting Processing Options for Create A/P Bank Tape - Norway DNB - Domestic (R04572NO1)
3.4.2.1
Tape
3.4.2.2
More Tape
3.4.2.3
Payment Date
3.4.2.4
Bank Format
3.4.3
Setting Processing Options for Create A/P Bank Tape - Norway DNB - Foreign (R04572NO2)
3.4.3.1
Tape
3.4.3.2
More Tape
3.4.3.3
Payment Date
3.4.3.4
Bank Format
4
Working With Localizations for Norway
4.1
Understanding Payment Processing for Norway
4.2
Understanding Additional Information for Vouchers for Norway
4.2.1
Entering Foreign Payment Information for the Central Bank
4.3
Working with Payment Groups for Norway
4.3.1
Forms Used to Work With Payment Groups for the Nordic Countries
4.3.2
Setting Processing Options for A/P Bank File Report - Nordic Countries (R0474N1)
4.3.2.1
Default
4.3.3
Setting Processing Options for Nordic Work with Payments (P0474N5)
4.3.3.1
Update
4.4
Receiving Debit Advice Notices in Norway
4.4.1
Understanding Debit Advice Note
4.4.1.1
Loading the Payment Return File
4.4.1.2
Working with Debit Advice Notes
4.4.2
Form Used to Review Debit Advice Notes and Update or Reset Payments
4.4.3
Running the Load Payment Return File Program
4.4.4
Setting Processing Options for Load Payment Return File (R74W210)
4.4.4.1
Defaults
4.4.4.2
Process
4.4.5
Setting Processing Options for Debit Advice Payment Driver (R74W211)
4.4.5.1
Defaults
4.4.5.2
Update
4.4.6
Setting Processing Options for Debit Advice - Format, DNB (R74O212)
4.4.6.1
Update
4.4.7
Reviewing Debit Advice Notes, Updating Payments, and Resetting Payments
4.5
Uploading Customer Payment Information for Norway
4.5.1
Understanding the Upload of Customer Payment Information for Norway
4.5.2
Uploading Customer Payment Information for Norway
4.5.3
Setting Processing Options for Automatic Receipts Norway (R74O001)
4.5.3.1
Defaults
4.5.3.2
Process
4.5.3.3
Select
4.6
Uploading Information to the F03B13Z1 Table for Norway
4.6.1
Understanding the Copy Bank File to Interface File A/R Program
4.6.2
Running the Copy Bank File to Interface File A/R Program
4.6.3
Setting Processing Options for Copy Bank File to Interface File A/R (R74W0010)
4.6.3.1
Defaults
4.6.3.2
Version
4.7
Preparing Vouchers and Credit Notes for Payment Processing in Norway
4.7.1
Understanding the Process for Preparing Vouchers and Credit Notes for Payment Processing
4.7.1.1
Revising Due Dates for Credit Notes
4.7.1.2
Example of Credit Note Equal to Voucher Amount
4.7.1.3
Example of Credit Note in Excess of Voucher Amount
4.7.1.4
Revising Due Dates for Discounted Vouchers
4.7.1.5
Example of Discount Due Date Has Passed
4.7.2
Running the Enhanced Due Date Processing Report
4.7.3
Setting Processing Options for Enhanced Due Date Processing (R74W0020)
4.7.3.1
Select
4.7.3.2
Process
4.7.3.3
Defaults
4.7.4
Running the Enhanced Due Date Processing - Discounts Report
4.7.5
Setting Processing Options for Enhanced Due Date Processing - Discounts (R74W0021)
4.7.5.1
Process
Glossary
Index
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