This chapter provides an overview of credit reimbursements, lists prerequisites and discusses how to:
Generate credit reimbursements.
Post credit reimbursements.
See Also
Generating Credit Reimbursements in Foreign Currencies
You can use credit reimbursements to reclassify credits in the JD Edwards EnterpriseOne Accounts Receivable system to open vouchers in the JD Edwards EnterpriseOne Accounts Payable system. For example, you can issue rebates and reimburse customers for overpayments. When you generate credit reimbursements, the system pays open credit memos and generates vouchers to reimburse the customer.
Credit reimbursements are generated based on the grouping of customer, company, and currency combination.
Note. In addition to the credit reimbursement process, you can use the AR/AP netting process to bilaterally reclassify transactions between Accounts Receivable and Accounts Payable.
See Netting Accounts Receivable and Accounts Payable.
Before you complete the tasks in this section:
Set up AAI item NC for the suspense (clearing) account between the JD Edwards EnterpriseOne Accounts Receivable and Accounts Payable systems.
Ensure that a Supplier Master record exists for the customer in the Address Book.
Ensure that NO is a valid document type in UDC 00/DV (vouchers) and UDC 00/DT (invoices).
This section provides an overview of credit reimbursement generation and discusses how to:
Run the Generate Reimbursements program.
Set processing options for Generate Reimbursements (R03B610).
Two versions of the Generate Reimbursements program (R03B610) are available: one for proof mode and one for final mode. To print a list of eligible documents, use the version for proof mode. The system generates a separate reimbursement record for each customer, company, and currency combination, and prints it on the report.
To process credit reimbursements, select documents from the list of eligible documents and run the version in final mode. The system:
Creates a receipt in the Receipts Header (F03B13) and Receipts Detail (F03B14) tables to close the selected invoices.
Creates a batch of receipts (batch type RB), which you must post.
When you post the receipt batch, the system debits the A/R trade account and credits the suspense account specified by the AAI item NC.
Changes the pay status on the invoices to P (paid).
Creates a voucher in the Accounts Payable Ledger table (F0411) with a document type NO.
Note. The system does not create vouchers with tax information from the credit memo.
Creates a batch of vouchers (batch type V), which you must post.
When you post the voucher batch, the system credits the A/P trade account and debits the suspense account specified by the AAI item NC.
A zero balance in the suspense account indicates that both batches posted successfully. A nonzero balance indicates that a problem exists in posting one of the two batches.
Note. The system does not include these invoice documents in the credit reimbursement process:
Unapplied Receipts (RU)
Drafts (R1)
Deductions (R5)
Unapplied Receipts
The Generate Reimbursements program does not include unapplied receipts (RU document types). Although these represent a credit to the customer, because they are generated from a receipts program, they have additional records in the F03B13 and F03B14 tables.
To reimburse a customer for an unapplied receipt, you must close the receipt and create a credit invoice in its place. To do this:
Create an invoice for zero amount.
On Receipt Entry, select the unapplied receipt.
From the Form menu, select Select. On Select Invoices, locate and select the zero-amount invoice.
Enter 10 in the type input code field, and specify the unapplied amount in the Payment Amount field.
Click OK.
If you post the unapplied receipt before applying it against the invoice, the open amount is changed to zero (blank) and the receipt is closed. The open amount on the invoice is changed from zero (blank) to the negative amount applied from the receipt.
If the unapplied receipt is not posted, the system deletes the unapplied records in the F03B14 and Customer Ledger (F03B11) tables, and updates the invoice with the negative amount. Then, the Generate Reimbursements program can access the invoice and create a voucher in the JD Edwards EnterpriseOne Accounts Payable system to reimburse the customer.
Next Numbers
The system assigns the document number for the NO voucher from the Voucher Entry line (line 1) of the next number table for system 04. To assign separate next numbers for the vouchers that you create for credit reimbursements, use one of these:
Next Numbers
You must specify a line number in the Description 2 field for the code NO in UDC 00/DV. Then, specify a next number on that line for system 04 (Accounts Payable).
Next Numbers by Company/Fiscal Year
Use this form to create a separate line for document type NO for the appropriate fiscal year.
Example: Selecting Documents for Credit Reimbursements
For the records that you specify in data selection, the system creates reimbursements if the amount is a credit (negative). For example, assume you have these records in the F03B11 table:
Customer |
Company |
Document Type |
Amount |
Currency Code |
4272 |
00001 |
RM |
–100.00 |
USD |
4272 |
00001 |
RI |
50.00 |
USD |
4272 |
00001 |
RI |
100.00 |
USD |
4272 |
00001 |
RM |
–200.00 |
USD |
4272 |
00010 |
RI |
80.00 |
USD |
4272 |
00010 |
RM |
–150.00 |
USD |
4272 |
00010 |
RI |
180.00 |
USD |
You can use data selection as follows:
If you run the data selection with customer number 4272 as the only selection criterion, the system generates one reimbursement for 150.00 USD, based on the customer number (4272), company (00001), and currency code (USD) group.
The system generates a reimbursement because the overall balance of the customer's account based on the grouping is negative. The system does not generate a reimbursement for company 00010 because the overall balance is positive.
If you run the data selection with customer number 4272 and a document type of RM as the selection criteria, the system generates two reimbursements for customer 4272:
One for 300.00 USD based on customer number (4272), company (00001), and currency (USD).
One for 150.00 USD based on customer number (4272), company (00010), and currency (USD).
The system does not consider the overall balance of the customer's account because you specified document type RM.
Example: Accounting Entries for Credit Reimbursements
For this example, use this information:
You issue a credit in the amount of 50 to a customer for damaged goods, and then post the transaction. The system:
Debits the sales (revenue) account.
Credits the A/R trade account.
You generate a credit for reimbursement. The system:
Debits the A/R trade account for the credit amount and assigns a document type of NO.
Credits the suspense account.
The system also:
Creates a voucher (NO) in the JD Edwards EnterpriseOne Accounts Payable system (credit to the A/P trade account) to reimburse the customer for the credit amount and posts the voucher.
Debits the suspense account of the voucher to zero out the credit amount.
You create a payment (PK or PN) in the JD Edwards EnterpriseOne Accounts Payable system to reimburse the customer for the credit amount and then post the payment. The system:
Debits the A/P trade account.
Credits the cash account.
This graphic shows the accounting entries associated with each of the preceding steps:
Example of credit reimbursement accounting entries
From the Period End Processing menu (G03B21), select Generate Reimbursements.
Processing options enable you to specify the default processing for programs and reports.
Defaults
These processing options are used to specify default information when processing reimbursements.
1. G/L Date |
Specify the G/L date for the system to assign to the reimbursement records. If you leave this processing option blank, the system assigns the system date. |
2. G/L Offset |
Specify the G/L offset account to use for vouchers that the system generates. The system concatenates the value of the G/L offset to the AAI item PC to locate the A/P trade account. If you leave this field blank, the system uses the G/L offset from the Supplier Master record (F0401). |
3. Supplier Address Number |
Specify the address book number to assign to reimbursement vouchers. Values are: Blank: Assign the customer's address book number. 1: Assign the payor number from the Customer Master record (F03012). 2: Assign the parent number from the Customer Master record (F03012). |
Process
These processing options are used to specify whether to generate reimbursements in proof or final mode and whether to create vouchers in summary or detail.
1. Process Mode |
Specify whether to run the program in proof or final mode. In proof mode, the system generates a report only. In final mode, the system generates a report and creates reimbursement vouchers. Values are: Blank: Proof mode 1: Final mode |
2. Detail/Summary Mode |
Specify whether the system creates one reimbursement voucher with one summarized pay item or one reimbursement voucher with multiple pay items, one for each credit memo. Values are: Blank: Summary. The system creates one voucher with one pay item for the total reimbursement amount. 1: Detail. The system creates one voucher with a separate pay item for each of the customer's credit memos. |
Versions
These processing options are used to specify the version of the programs to use to generate reimbursements.
1. Receipt Entry (P03B102) Version |
Specify the version of the Standard Receipts Entry program (P03B102) to use to create receipt records. If you leave this processing option blank, the system uses version ZJDE0001. |
2. Voucher Entry (P0400047) Version |
Specify the version of the Voucher Entry MBF Processing Options program (P0411) to use to create voucher records. If you leave this processing option blank, the system uses version ZJDE0001. |
3. Journal Entry (P0900049) Version |
Specify the version of the Journal Entry MBF Processing Options program (P0900049) to use to create voucher records. If you leave this processing option blank, the system uses version ZJDE0001. |
This section provides an overview of credit reimbursement posting, lists prerequisites and discusses how to run the post program for credit reimbursements.
See Also
Approving and Posting Receipts
R03B413B - Open A/R Detail - Summarized with Currency
Posting Financial Transactions
The final step in processing credit reimbursements is to post the resulting entries. When you post the receipts and vouchers, the system updates the F03B13, F03B14, and F0411 tables and creates the necessary journal entries.
Review and approve voucher and receipt batches.
See Working with Batches.
From the Period End Processing menu (G03B21), select Post Receipts to G/L or Post Vouchers to G/L.