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This routine was adjusted to comply with the General Personal Data Protection Law (LGPD law No. 13.70), so that some fields containing data regarded as sensitive and/or personal are blurred, becoming illegible. |
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#INCLUDE "Protheus.ch" #INCLUDE "RWMAKE.CH" #INCLUDE "TBICONN.CH" Static __COMPAUT := Nil User Function CMPAUTOMA() Local lRet := .F. Local cQry := "" Local aTipos := {"NF ", "PA ", "NDF"} Local cTblTmp := "" Local aNF := {} Local aPA_NDF := {} Local aContabil := {} Local bBlock := Nil Local aEstorno := {} Local nSldComp := 0 Local nTaxaPA := 0 Local nTaxaNF := 0 Local nHdl := 0 Local nOperacao := 0 If __COMPAUT == Nil cQry := "SELECT E2_TIPO TIPO, R_E_C_N_O_ R_E_C_N_O FROM " + RetSqlName("SE2") + " " cQry += "WHERE E2_SALDO > 0 AND E2_TIPO IN (?) " cQry += "ORDER BY E2_TIPO" cQry := ChangeQuery(cQry) __COMPAUT := FWPreparedStatement():New(cQry) EndIf __COMPAUT:SetIn(1, aTipos) cQry := __COMPAUT:GetFixQuery() cTblTmp := MpSysOpenQuery(cQry) While (cTblTmp)->(!Eof()) If (cTblTmp)->TIPO $ MVPAGANT+"|"+MV_CPNEG Aadd(aPA_NDF, (cTblTmp)->R_E_C_N_O) Else Aadd(aNF, (cTblTmp)->R_E_C_N_O) EndIf (cTblTmp)->(DbSkip()) lRet := .T. EndDo (cTblTmp)->(DbCloseArea()) cTblTmp := "" If lRet Pergunte("AFI340", .F.) lContabiliza := MV_PAR11 == 1 lAglutina := MV_PAR08 == 1 lDigita := MV_PAR09 == 1 lRet := FinCmpAut(aNF, aPA_NDF, aContabil, bBlock, aEstorno, nSldComp, dDatabase, nTaxaPA ,nTaxaNF, nHdl, nOperacao) If lRet Alert("Compensation successful") Else Alert("An error occurred in the compensation process") EndIf EndIf Return |
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To use the Automatic Accounts Payable Compensation Clearing process, call the function: FinCmpAut. Clearing can be carried out from N to N: N advances/returns (PA or NDF) for N bills (NF, DP, etc.) or vice versa. |
Use this operation to clear bills payable:
- Clearing bills from a supplier/store with advances from the same supplier/store
- Clearing bills from a given supplier with advances from the same supplier regardless of the bill receivable store
- Clear a bill from a given supplier with advances from several suppliers, in which case a supplier range or all suppliers can be established. Then, the bill can be cleared with any advance bill from the same supplier pending in the bill file, irrespective of the supplier for this bill.
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The Clearing Date must be after the date of issue of the bills involved. For example:
You can only clear these bills after 4/02, considering that on 3/29 the NF did not yet exist, so the postings concept is correctly applied to clearing operations. (E2_Posting after E2_ISSUE)
For clearance between advances and bills from different branches, use button Branches to define which branches to consider for selection of bills to clear.If you do not use button Branches, only bills of the current branch are considered for clearing.
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The booking of processes applied to an accounts payable clearing via Financials module is done through the standard entries below:
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SE
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Taxable Event
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ON
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OFF (CTBAFIN)
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589
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Cancellation of clearing of accounts payable bills
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X
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X
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597
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Clearing of accounts payable
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Options to set parameters MV_PABRUTO, MV_BP10925, MV_PAPRIMEWhen parameter MV_PABRUTO, is equal to 2 (Net), when you generate bills of type PA (advance payment), the generation with net value is maintained, in which the tax values that can be withheld at addition are deducted. For example, when you clear a bill of type INVOICE with a PA, given that both withhold taxes at posting, for coherent values you should set the parameters below as follows:
When parameter MV_PABRUTO is equal to 1 (Gross), when you generate bills of type PA, it is generated with gross value, not deducting the tax values that can be withheld at addition. Then you must clear an Invoice with a PA by the gross value, setting parameters as follows:
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The booking of processes applied to an accounts payable clearing via Financials module is done through the standard entries below:
SE | Taxable Event | ON | OFF (CTBAFIN) |
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589 | Cancellation of clearing of accounts payable bills | X | X |
597 | Clearing of accounts payable | X | X |
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Booking of DIC type The booking of DIC type generated by clearing can be done by LP 510 - Addition of Bill Payable, because it is generated through the FINA050 (Accounts Payable) automatic routine. Booking of taxes generated when clearing. LP 597 - Clearing Payable itself can book taxes generated by clearing, through variables: NPIS340, NCOF340, NCSL340, NIRF340, NISS340.In the other cases, the booking remains unchanged, as documented below |
See Also:
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Entry point | Note |
F340BROW | Entry point F340BROW is called before the browser, which you can use to handle the data displayed by the browser. |
F340LIBT | The entry point indicates whether to validate the bill release when clearing. |
F340DTFIN | PE is called in MV_DATAFIN parameter validations found in CP Clearing. |
F340TAXA | In this entry point you can change the currency rates used when clearing accounts payable. |
F340ATLIS | Use this entry point to handle the aTitulos Array, to change the listBox of the clearing screen.Document: {+} http://tdn.totvs.com/x/gKRc+ |
F340TOTCP | Use entry point F340TOTCP() to handle the total values of bills to be cleared. |
F340MKTIT | Use entry point F340MKTIT to customize bills already selected in the markbrowse. You can handle an array that contains the bills and, with its 8th occurrence, containing a logical value that indicates whether the bill is selected or not.Document:{+} http://tdn.totvs.com/x/L6Rc+ |
F340NAT | |
F340_PA | Entry point F340_PA is executed after booking each clearance payable bill. |
F340SE5 | Entry point F340SE5 handles Processed Bank Transactions with parameter Recno of records SE5 used in Clearing. |
F340GRV | Entry point F340GRV validates the addition in routine Accounts Payable Clearing (FINA340) |
F340ACAN | Use this entry point to create a rule to enter when the Reversal will occur, or not. |
F340CAN | Entry Point called upon confirmation of clearance reversal. |
F340GREST | Recording of additional data in clearance reversal |
F340FCAN | Use this entry point to save complementary data when reversing the clearance. |
FA340QRY | Query complement for cancellation of clearance |
FA340FILT | Run entry point FA340FILT when assembling the table of bills to clear and use it to select which bills you will clearDocument: {+} http://tdn.totvs.com/x/rqNc+ |
F340CMP | Use this entry point to calculate the NDF or PA bill. It is called in function Fa340Tit() |
FA340ORD | Use this Entry Point to edit the index, changing the order of bills displayed on the markbrowse for clearing payableDocument: {+} http://tdn.totvs.com/x/r6Nc+ |
F340ValOk | Entry point F340ValOk allows controlling data and confirming the payable bills clearing screenDocument: {+} http://tdn.totvs.com/x/fKVc+ |
F340TOTCP | Use this entry point to handle the total values of bills to be cleared. |
F340VLD | Use this entry point to validate whether a bill will be cleared or not.Document: {+} http://tdn.totvs.com/x/J6Vc+ |
F340LEGE | |
SE5FI340 | Use this Entry Point to make complementary recordings in table SE5, after recording the bank transaction of the main bill in automatic clearing payableDocument: {+} http://tdn.totvs.com/x/56Rc+ |
SE5FI341 | Use this Entry Point to make complementary recordings in table SE5, after recording the bank transaction of the Advance bill in automatic clearing payable.Document: {+} http://tdn.totvs.com/x/6KRc+ |
F340GERNDF | Use this to save additional fields when adding the NDF generated by the clearing payable. |
FA340NDFGrv | |
F340FLCP | Use this to implement a complementary expression in the bills filter. |
F340FCPTOP | Use this entry point to create a new filter for the routine Accounts Payable Clearing - FINA340. |
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Upon opening the wizard NOTITSEL in reversal of clearing, validate field E5_FILORIG in clearing records and also check fields of key (Prefix+number+installment+type+supplier+store) of tables SE2 and SE5. Fields must have corresponding sizes in both tables. |
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