This section outlines changes to the Creditors manual arising from changes made to Synergetic (versions 64.13-65.19).
Note: The look and feel of Synergetic depends on the PC it is running on. The screenshots in this manual use both the version 65 and pre-65 look and feel. You may notice a slight difference in appearance between this manual and Synergetic running at your organisation but the functionality is exactly the same.
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New grid fields in Creditor Maintenance. |
The First Order Line Description and Authorisation details for a purchase order are shown on the Purchase Orders tab of Creditor Maintenance. |
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New security settings. |
You can only abandon creditor invoice postings if you have sufficient privileges. |
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New field in Journals tab of Creditor Maintenance. |
You can view the sub-allocation description, if applicable, in entries on the Journals tab of Creditor Maintenance. |
Last modified: 14/05/2013 1:23:53 PM
This section outlines changes to the Creditors manual arising from changes made to Synergetic (versions 63.18-64.13).
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New field in Create New Creditor window. |
You can specify the format of a creditor's name with the Mail format field in the Create New Creditor window. |
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Purchase order documents in Docman tab of Creditor Maintenance. |
You can view and maintain details about purchase order documents that relate to a creditor in the Docman tab of Creditor Maintenance. |
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New posting edit rules. |
You cannot edit a posting if it is currently reconciled in a past or open bank reconciliation. |
Last modified: 14/05/2013 1:23:53 PM
This section outlines changes to the Creditors manual arising from changes made to Synergetic (versions 62.46-63.18).
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New edit button on G/L Allocations tab. |
A new Edit button is available on the G/L Allocations tab of Creditor Invoice Entry. You can change the details for an asset linked to the creditor invoice or business unit receipt. |
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Modify creditor invoices without having to re-enter G/L allocations. |
When modifying creditor invoices you can edit the general ledger allocations of the G/L Allocations tab of Creditor Invoice Entry. Previously, the details on the G/L Allocations tab had to be re-entered. Note: Synergetic deletes any debtor charges associated with the creditor invoice. You need to recreate and reallocate the G/L allocations. |
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Process for modifying asset details is documented. |
The process is documented for updating asset details when modifying creditor invoices. |
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Create business unit receipts with Creditor Invoice Entry. |
You can create business unit receipts from the Creditor Invoice Entry window. |
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New filter fields in the DocMan tab of Creditor Maintenance. |
You can filter documents by their description and source reference in the DocMan tab of Creditor Maintenance. |
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New warning method for opening past postings in the Select Creditor Invoice To Process window. |
If you double click a past posting in the Select Creditor Invoice To Process window, Synergetic warns that you are about to edit a past posting. This warning is not given if the |
This section outlines changes to the Creditors manual arising from changes made to Synergetic (version 61.35-62.45)
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New Creditor Invoice Date default. |
In the Invoice tab of Creditor Invoice Entry, the invoice date defaults to the date of the posting. |
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New warning for invoice dates. |
On the Invoice tab of Creditor Invoice Entry, Synergetic displays a warning if you select a date that is:
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Add bank fees to creditor invoices. |
In the Invoices tab of Creditor Invoice Entry, you can add bank fees to the invoice for currency conversion or processing bank cheques. Only applies if foreign currency is enabled. |
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Foreign currency creditor invoices. |
In the Invoices tab of Creditor Invoice Entry you can:
Only applies if foreign currency is enabled. |
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New field in Payments tab of Creditor Maintenance. |
The Local Amt field in the Payments tab of Creditor Maintenance displays the invoice amount in the default currency of your organisation. Only applies if foreign currency is enabled. |
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New field in Creditor Invoice G/L Allocations window. |
The Local Amt field in the Creditor Transaction G/L Allocations window displays the invoice amount in the default currency of your organisation. Only applies if foreign currency is enabled. |
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New field in Payment Details tab of Creditor Maintenance. |
You can select the currency a creditor is paid in on the Payment Details tab of Creditor Maintenance. Only applies if foreign currency is enabled. |
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New Custom Search Form. |
You can search for creditors using a Custom Search Form, if the user search option is configured. |
This section outlines the changes to the Creditors manual arising from changes made to Synergetic (version 61.00-61.35).
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New field in General tab of Creditor Maintenance. |
The Head Office ID field has been added to the General tab of Creditor Maintenance to indicate the central office of a creditor who has multiple branches listed in Synergetic. |
Creditor Maintenance - General tab
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Multiple agents per organisation. |
Multiple agents can now be listed under the same organisation when calculating commissions by using the Head Office ID field in the General tab of Creditor Maintenance. |
Creditor Maintenance - General tab
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New field in Alerts tab of Creditor Maintenance. |
A comment field has been added to the Alert tab of Creditor Maintenance. Comments added here are displayed in a dialog when the creditor is selected from the Purchase Order Maintenance window. |
Creditor Maintenance - Alert tab
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New field in Account tab of Creditor Maintenance. |
A Default GL Code field has been added in the Account tab of Creditor Maintenance. The code selected here is automatically entered in the G/L Allocations tab of Creditor Invoice Entry. |
Creditor Maintenance - Account tab
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New field in Payments and Paid Invoices tabs of Creditor Maintenance. |
A Reconciled field has been added to the grids of the Payments and Paid Invoices tab of Creditor Maintenance to indicate whether an invoice has been presented on the bank statement. |
Creditor Maintenance - Paid Invoices tab Creditor Maintenance - Payments tab
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New field in Creditor Search window. |
An A.B.N. field has been added to the Creditor Search Criteria window, allowing you to search for creditors by their Australian Business Number. |
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New field in Bulk Selections tab of Creditor Payment Selections. |
A new Bank Account field has been added in the Bulk Selections tab of Creditor Payment Selections to allow you to:
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See Creditor Payment Selections - Bulk Selection tab Banking Configuration Maintenance - General tab in the System maintenance manual
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New field in Reset Creditor Cheques window. |
A new Bank Account field in the Reset Creditor Cheques window allows you to select to reset only cheques from a specific bank account. |
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New field in Create New Creditor EFT Posting window. |
A new Bank Account field in the Create New Creditor EFT Posting window allows you to select which bank account to create EFT Postings from. |
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Resetting creditor EFT postings. |
A new topic has been added on resetting creditor EFT postings. |
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New field in Close Off EFT Posting window. |
A new Bank Account field has been added to the Close Off EFT Posting window to allow you to filter postings by bank account. |
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Last modified: 14/05/2013 1:23:53 PM
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© 2013 Synergetic Management Systems. Published 15 October 2013.