Common data > BPs > Suppliers 

A supplier is a business partner. As such, it is identified in the Business partner table as well as in the Suppliers table.
Use this function to manage the Suppliers table and associated tables: Business partner, Addresses, Contacts and Bank details.
You can thus create, view, and update the information specific to a given supplier, as well as information associated with the BP.

Prerequisite

SEEREFERTTO Refer to documentation Implementation

Screen management

To create a supplier, you can use up to eight sections.
The four following sections are common to both the Business partner and Supplier records:

  • Identity
  • Addresses
  • Bank details
  • Contact

The information is recovered from the BP record, if this record was created before the Supplier record. You can modify it.
Any modification on one or more of these common sections is automatically saved to the Business partner table.

These sections are described in the Business partner documentation.

Header

Presentation

Use this section to:

  • Enter a supplier code and view its company name.
  • Activate the supplier in order to authorize the entry of documents for their code.

From the Actions icon, on the Supplier field, click Search to open a screen where you can perform a quick search on a Supplier record, based on multiple criteria:

  • Search on the start of the company name.
  • Search on the start of the postal code.
  • Search on the start of the town/city name.
  • Cumulated search on each search field.

Click Search to display the search results at the bottom of the screen.

SEEINFOThe search is carried out on the supplier base.

Click Select to close this screen and return to the selected Supplier record.

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Fields

The following fields are present on this tab :

This is the category associated with the supplier.
A supplier category makes it possible to:

  • have an additional supplier classification,
  • have default values upon creation,
  • assign an automatic numbering to the suppliers according to a counter associated with the supplier category.


  • Active (field ENAFLG)

This field is used to activate or deactivate a transaction.
This is notably used to create a supplier in several stages and to activate it once the information is valid.
SEEWARNING It is impossible to create a document for an inactive supplier.

  • Supplier (field BPSNUM)

Enter the supplier at the origin of the receipt. The selection lists specific to the intersite and intercompany orders and deliveries available for receipt are filered to those related to the entered supplier.

From the Selection icon, you can:

  • select a supplier from the list of active suppliers.
  • access, based on your authorizations, the supplier record, and create a new supplier if necessary.

  • field BPSNAM

This field indicates the trade name of the supplier, it cannot be reached at that level.

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Tab Identity

Presentation

Use this section to enter the identification data for the business partner such as selecting roles and entering role-specific details:

Select the Service provider check box to access the Service provider info from the Actions panel, Functions menu. The term Service provider refers to an after-sales service provider you can call when all internal customer support employees are unavailable.

Select the Service caller (Order-giver) check box to access the Order-giver info from the Actions panel, Functions menu. The term Order-giver groups all customers for the account for which customer support services are carried out. That is, service requests that are processed for customers of our customers.

EU VAT ID validation

You can interactively validate the EU VAT no. by clicking the EU VAT ID validation icon.

A message box displays with the validation results. The exact content varies depending on the check result and web service used.

  • If the validation is successful, you receive a confirmation message and the Validation check box is selected.
  • If the validation failed, you receive a message that displays the reason for the failure.
  • If the validation could not be completed (for example, if only the VAT number was validated and not the address), you have the option to accept the results as valid or not. If you select Yes, the Validation check box is selected.

Note: The validation results are stored in a table.

If a previously-validated VAT number is modified, the Validation check box is cleared.

Validation levels:

A Qualified validation verifies the EU VAT no. and company name and address. All data must be valid.

An Unqualified or simple validation only verifies the EU VAT no. Note that the EU validation web service performs only unqualified validations.

Address management:

Results are recorded with the original address code.

For the main EU VAT no., the standard company address is used.

You can manually revalidate VAT numbers using the EU VAT ID revalidation function (EVCBAT).

Note: This field is only available if a web service is identified by the EVCSERVICE – Webservice for EU VAT ID parameter (CPT chapter, VAT group) and the sender's EU VAT number is set by the EVCCOMPANY—EU VAT ID source company parameter (CPT chapter, VAT group)

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Fields

The following fields are present on this tab :

Block number 1

  • Short description (field BPRSHO)

This field specifies the customer's company name.

  • Acronym (field BPRLOG)

BP's acronym.

  • field BPRNAM

Business Partner company name.

  • Natural person (field LEGETT)

When it is activated, this indicator makes it possible to specify that the BP is a physical person. When it is not activated, it is a corporate body.
If the BP is a corporate body, it is mandatory to enter the "VAT identification number" and the "Site tax ID number" if their entry has been set up at country level as mandatory.

  • Mailing prohibited (field BPRFBDMAG)

 

This code is used to identify amongst other things, the Country of a BP.
This is important information, associated with a number of characteristics useful for performing controls on other linked information, in particular:

  • the telephone number format,
  • the format of the number that identifies a company or an activity (site tax ID number, NAF in France), and whether its entry is mandatory or not,
  • the postal code format of the town and also the code of the geographic subdivision, and whether their entry is mandatory,
  • whether the VAT number of this community is mandatory,
  • the Bank ID code format.

Code controlled in the language table making it possible to define the language of a business partner.

This code is used to identify the currency of a site, a BP, etc. It is controlled in the currency table.
The currency suggested by default is the budget one.

  • Site tax ID no. (field CRN)

Single identification number for the company.
It is mandatory to enter this number if both the following conditions are satisfied:

  • its entry is set to mandatory by setup of the country record,
  • the BP is a corporate body.

Its entry format depends on the setup carried out at the level of the Country record.

In France, this number, assigned by the INSEE on registering a company with the national registrar of companies, contains 9 numbers, is unique and cannot be changed. This is used by all public bodies and the administrations in contact with businesses.

  • SIC code (field NAF)

This fields displays the SIC code (subject to activity code KFA), according to the French company's activity codification.

  • REX number (field REXNUM)

  • EU VAT no. (field EECNUM)

This is the VAT identification number of the BP. 

This European VAT number must be entered on all the invoices destined to or coming from the European Union. This number starts with two letters identifying the business partner country followed by a number depending on the country.

In France the number is comprised of FR, then 2 numbers identifying the tax office of the place where the company conducts its activities, followed by the Company tax ID no.(SIREN) of the company.

This information must necessarily be entered if the Company Registration number is set up as being mandatory for the country of the company.

  • EU VAT ID validation (field EVCVAL)

Note: This field is only available if a web service is identified in the EVCSERVICE – Webservice for EU VAT ID parameter (CPT chapter, VAT group) and the sender's EU VAT ID is set in the EVCCOMPANY—EU VAT ID source company parameter (CPT chapter, VAT group)

Click the Validation action to interactively validate your EU VAT ID.

A message box displays with the validation results. The exact content varies by check result and web service used.

  • If the validation was successful, you receive a confirmation message and the Validation check box is selected.
  • For an unsuccessful validation, you receive a message that displays the reason for the failed validation.
  • If no full validation could be performed (for example, if only the VAT ID was validated and not the address), you have the option to accept the results as valid or not. If you select Yes, the Validation check box is selected.

Note: Successful validation results are stored in a table.

If a previously-validated VAT ID is modified, the Validation check box is cleared.

Validation levels:

A Qualified validation verifies the EU VAT ID and company name and address. All data must be valid.

An Unqualified or simple validation only verifies the EU VAT ID. Note that the EU validation web service performs only unqualified validations.

Address management:

Results are recorded with the original address code.

For the main EU VAT ID, the standard company address is used.

You can manually revalidate IDs using the EU VAT ID revalidation function (EVCBAT).

  • Verified (field EVCVALDON)

If a previously-validated VAT ID is modified, the Validation check box is cleared.

A message box displays with the validation results. The exact content varies by check result and web service used.

  • If the validation was successful, you receive a confirmation message and the Validation check box is selected.
  • For an unsuccessful validation, you receive a message that displays the reason for the failed validation.
  • If no full validation could be performed (for example, if only the VAT ID was validated and not the address), you have the option to accept the results as valid or not. If you select Yes, the Validation check box is selected.


Note: This field is only available if a web service is identified in the EVCSERVICE – Webservice for EU VAT ID parameter (CPT chapter, VAT group) and the sender's EU VAT ID is set in the EVCCOMPANY—EU VAT ID source company parameter (CPT chapter, VAT group)

  • No WL verification (field WLFLG)

For Polish suppliers, select this check box to exclude this supplier from Whitelist verification. If selected, N/A displays in the WL column in the Bank details grid for that supplier.

Note: This field only displays for Polish supplier.

Intersites

  • Intersite (field BETFCY)

This flag is designed to indicate if this is an inter-site BP:

  • The inter-site customer/supplier BPs are used for multi-site exchanges.
  • A customer BP is a purchase site or a financial site,
  • a supplier BP is a sales site or a financial site.

Site code that has to be identified as a BP within the frame of multi-site exchanges.

The following data need to be entered:

  • The requesting site (purchase or financial sites) at the level of the customer BP.
  • The supplying site (sales or financial sites) at the level of the supplier BP.
  • For the customer, a warehouse site, belonging to the same company, will identify each ship-to address.

Roles

  • Customer (field BPCFLG)

This field is automatically ticked when the BP is a customer.

  • Sales rep (field REPFLG)

This field is automatically ticked when the BP is a sales representative.

  • Prospect (field PPTFLG)

This field is automatically ticked when the BP is a prospect.

  • Supplier (field BPSFLG)

This field is automatically ticked when the BP is a supplier.

  • Miscellaneous BP (field BPRACC)

This field is automatically ticked when it concerns a miscellaneous BP.
SEEINFOA miscellaneous BP is only used in accounting.

  • Service supplier (field PRVFLG)

This option is used to include a BP among the list of after-sales service providers.

An after-sales service provider is an organization that may be called on to conduct

an intervention to be carried out for a service request (Repair, advice, audit, quote etc...)

For each service provider, it is possible to register their skills, their geographic intervention area,

their price list conditions for invoicing.

  • Carrier (field BPTFLG)

This field is automatically checked when the BP is a carrier.

  • Service caller (field DOOFLG)

The contractor represents the actual customer for whom a service request is made.
When a service request does not include any contractor, the service is supplied on behalf of the direct customer of the current organization.
By contrast, when a service request includes a contractor, the service is provided to the customer but is is made on behalf of the contractor. The customer receiving assistance is not the organization's customer but the contractor's.
Regarding invoicing, the data loaded by default is the contractor's (invoiced customer, pay-by BP, ...). Therefore, it is mandatory to create a customer record for the contractor.
This option makes it possible to discern the contractor population.
This option is also mandatory to be able to link customers to their contractor(s).

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Tab Addresses

Presentation

Use this section to enter the business partner addresses. You must enter at least one address. When several addresses are linked to the same BP, you must define one of them as the default address. In creation mode, the first address entered is the one suggested by default.

When entering the post code, an automatic control can be performed and the town entered depending on the settings of the CTY - Nonexistent city alert, POSCOD - Nonexistent postal code alert, and POSCODCPY - Multi-country post codes parameters (SUP chapter, INT group).

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Fields

The following fields are present on this tab :

Grid

  • Address code (field CODADR)

Address code of the business partner (BP).

Detail

  • Address code (field XCODADR)

This code is used to identify the various addresses associated with the managed record (user, company, site, business partner of any description, etc.).
Each address code is unique to a given record.
In general, it is mandatory to enter an address for each record, and one of them must be declared as the default address using the corresponding box.

You cannot modify or delete an address code when it is used at the level of a Bank ID number or for a contact.
In this case, to be able to modify or delete an address code, you first need to remove it from the level of the Bank ID number or contact.

  • Description (field XBPADES)

Specify the information linked to the address.

This code is used to identify the country associated with the address.

In the Country table, which controls this field, some specific characteristics are used to perform controls on the related information, in particular:

  • the phone number format,
  • the format of the number identifying a company or an activity (SIRET, NAF in France),
  • the format of the postal/town-city code as well as that of the geographical subdivision, and whether their entry is mandatory or not,
  • the format of the bank ID number,
  • the IBAN management.
  • Description (field XCRYNAM)

Title associated with the previous code.

  • field XADDLIG1

This table lists the various address lines. The formats of the title and of the entry are defined in the country table.

  • field XADDLIG2

 

  • field XADDLIG3

 

  • Postal code (field XPOSCOD)

The postal code, which entry format is defined in the Country table, is used to define the town/city, state/region and the geographical subdivision, if defined for the country.
If you modify the postal code, the city/town and state/region corresponding to this new code are automatically displayed. The principle is the same for the geographical subdivision if it is present for the country.
You can also directly enter a town/city name or state/province. If the city/town, state/region are defined, the associated postal codes are displayed automatically.
The control of this information and its mandatory nature depend on the setup carried out in the country management. For the control to be applied, the POSCOD - Warning nonexistent postal code parameter (SUP chapter, INT group) must also be set to 'Yes'.

Particular cases:

- for ANDORRA, indicate 99130,
- for MONACO, indicate 99138,
- for the other foreign countries, indicate the national identifier of the country or 99999 if not known.

When the postal code is defined as mandatory for the country, it must be entered if the Postal Code or City/town fields are entered, or if information is modified in the BP address window. However, this control is not applied in document creation.

  • City (field XCTY)

The city automatically suggested is the one associated with the postal code previously indicated. It is also possible to manually enter the name of a town/city:
- If the town/city is already defined, the associated postal code is automatically displayed,
- If it does not exist and the postal code control has been set up in the Country record, a warning message is displayed but the continuation of the entry is authorized (in order for this control to be applied, the CTY - Nonexistent city alert parameter - SUP chapter, INT group - must also be set 'Yes'),
- If it does not exist and the postal code is set up as mandatory for the country, a blocking message is displayed in case the fields Postal code or City/Town are entered or in case of modification of information in the address window of the BP. However, this control is not carried out in document creation.

Notes.

  • Its format is defined in the Country record setup.
  • Depending on this setup, the entered town/city can automatically be converted into uppercase after it has been entered.
  • In order to make selections easier without taking into account the format (accented characters/uppercase letters/lowercase letters), the selection window available on this field proposes a column dedicated to the search, where the names of the towns/cities are displayed in uppercase.
  • field ITINERAIRE

Click this icon to open a mapping site and locate the entered address.

  • field XSAT

This field contains the geographical subdivision corresponding to definition of the postal address. For example, a 'department' for France, and a state for the United-States.

The description of the geographic subdivision, as well as the control on the information entry, are defined in theCountries setup.

This field loads automatically after the postal code and town/city have been entered and is based on the Postal codes setup.
If the field is controlled, the control is carried out with respect to the Geographical subdivision table.

  • Website (field XFCYWEB)

This field is used to indicate a web site.

  • External identifier (field XEXTNUM)

This free field makes it possible to stock a variable identifier, which can be used for specific processing.
Example: when generating international transfer files in XML format, the content of this field identifies the credited BP, when the SIRET number is missing (see setup of Bank files).

  • Default address (field XBPAADDFLG)

When selected, this check box indicates that this is the default address.
Only one of the addresses in the selected record can (and must) be selected. This always corresponds to one of the BP's addresses.

Telephone

  • field XTEL1

This field indicates the phone number. Its entry format depends on the country.
The level of control applied to the entered number format depends on the general parameter CTLTEL - Phone number control (SUP chapter, INT group).

  • field XTEL2

 

  • field XTEL3

 

  • field XTEL4

 

  • field XTEL5

 

Email

  • field XWEB1

This field is used to specify the email address of the contact.

  • field XWEB2

 

  • field XWEB3

 

  • field XWEB4

 

  • field XWEB5

 

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Tab Commercial

Presentation

Use this section to enter commercial information about the selected supplier, such as:

  • The ABC class of the supplier, the number under which the company is known as a supplier.
  • A check box authorizing orders with several lines to be sent to the supplier (standard option), a check box used to remind the supplier that they have not sent an order acknowledgment, or that the goods have not been delivered.
  • Commercial and invoicing criteria (minimum order amount, original date used in the payment open item calculation - based on either the invoice date or the receipt date - and the  price list structure, which defines the columns - discount or charge type - displayed the commercial documents of the supplier).
  • The carrier and the shipment method suggested by default in order entry.
  • A location, which is used to define a location assigned to the supplier (stock at the subcontractor). A control is carried out to verify that the entered location is of the subcontractor type.
  • The information required to establish the exchange of goods declaration, reported (and that can be modified) on the purchase documents (the default value used for the freight terms, the check box defining the default shipment location, an increase rate used by default in order to calculated the statistical value from the fiscal value).
  • The availability of the delivery (unavailability periods of the supplier)
  • The Order and Return check boxes in the Texts section indicate that texts associated with the order and the return note have been created using the Text menu located at the top of the screen.
  • Check boxes used to specify if you want to print the order note, receipt note, return note for the supplier.
    A print template can be specified in order to associate a list of reports to use as a priority with this supplier, or group of suppliers.
  • The discounts and/or charges (as a percentage and/or as a value) used to give the default values of the invoice footer elements in supplier invoicing. These elements are defined in the invoicing elements setup function.

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Fields

The following fields are present on this tab :

Order

  • ABC class (field ABCCLS)

Code making it possible to identify the ABC category of a business partner.
The ABC category is designed to classify business partners according to their importance in the turnover, for example.
Values between 'A' and 'D' can be entered. At the time of creation, the BP, having no statistical data available, is classified in category "D" by default.

  • Free freight threshold (field WORDFREFRT)

The field identifies the total purchase order amount needed to receive free freight. It is a display-only field and does not restrict POS creation.

 

  • Minimum order (field WORDMINAMT)

This is the tax excl. amount below which supplier orders can be subject to a control (blocking, warning or no control).

The level of control for this amount is defined by the parameter POHMINAMT - Order min amount control (ACH chapter, AUZ group).

This is the folder currency.

  • Multi-line order (field SEVLIN)

Flag used to specify whether orders over several lines are authorized or not for this supplier.

  • Ack. reminder (field OCNFLG)

This indicator is used to specify if the supplier must be or if this latter did not return an order acknowledgement of receipt.

  • Delivery reminder (field FUPFLG)

This flag is used to specify if a reminder letter should be sent to the supplier in case expected goods are not delivered.

This field is used to enter a price list structure code.
This code determines the sales conditions managed for each purchase document line ('Discounts and Charges' field).
The structure code is defined for one or several suppliers. At least one price list code must be set up for each structure code used by at least one BP.
SEEWARNING When aprice list structureis changed, the new structure must include the previous one.

Receipt

The un-available period code is used to specify the periods during which a BP or a site is not available (annual closing period, for instance).

The un-available periods code is used to specify the periods during which a BP or a site is not available (annual closing period, for instance).
The supplier unavailability period is used to check that the theoretical order date of a purchase request does not fall within these periods. The theoretical order date of a purchase request is calculated using the requested date of the request minus the time necessary for the purchase.

This field indicates the code that identifies the Carrier liable for the transportation of the goods.

Code checked in the Delivery modes table, and used to define the information related to the transport and delivery.

  • Location (field LOC)

This is the location code where the products will be transferred during the sub-contracting transfer (location change) to identify the products transferred to the sub-contractor. As far as a sub-contracting operation is concerned, the machine transferred remains the site property. To materialize the goods transfer, the dedicated locations are used.
SEEINFO The type of these locations must be aSub-contractorlocation.
The transferred quantity for sub-contracting of a product is displayed in the totals of the table Product-sites.

The Incoterm codes, set by the International Chamber of Commerce, seek to standardize the terms the most used in the international commerce by defining the respective responsibilities of the seller and the buyer agreed upon on establishement of the sales contract by a unique word similarly understood throughout the world.

The Incoterm code, controlled in Incoterm table is used in the INTRASTAT file (Exchange of goods declaration). It can also be used to define the price lists.

  • Intrastat increase (field EECINCRAT)

This field is subject to the Exchange of goods declaration (Intrastat).

This conversion factor is used in the Intrastat declaration for the exchange of goods. It is used in supplier invoices and applied to the fiscal value of the product line to obtain the statistical value.
It is initialized by either the increase conversion factor entered on the product-supplier record or the supplier record.

  • Transport location (field EECLOC)

A transport location must be specified in the EU exchange declaration. It is combined with the Incoterm code in order to determine the delivery conditions referring to the sales contract terms that specify the respective obligations of the buyer and seller.

This information is not used in the French declaration.

  • Due date origin (field DUDCLC)

Date used as the calculation basis for the open items and which can take the value 'Invoice date' or 'Receipt date'.

Text

  • Order (field WORDTEX)

The Order and Return flags in the Texts section indicate that texts associated with the order and the return note respectively have been created using the Text menu located at the top of the screen.

  • Return (field WRTNTEX)

 

Grid Discounts and charges

  • No. (field NOLIG)

 

Number of the invoicing element identifying the associated amount (Charges, freight, packing, discount, in percentage or in amount, etc.).

  • Description (field SHO)

This field indicates the short title of the invoicing element.

  • % or amount (field INVDTAAMT)

This is the information relating to the invoicing footer. The displayed invoicing elements come from the supplier category.
When the invoicing elements are entered and have a default value, this value is retrieved and converted into the supplier currency. The type of supplier credit and the system's current date (datesyst) are used.

  • Currency (field WWCUR)

This field indicate the currency (supplier) in which the amount is expressed.

Reports

  • Order form (field NORPRNFLG)

Flag used to specify whether the order notes must be printed or not for this supplier.

  • Receipt note (field NREPRNFLG)

Flag used to specify whether the receipt notes must be printed or not for this supplier.

  • Return slip (field NRTPRNFLG)

Flag used to specify whether the return notes must be printed or not for this supplier.

This field is used to indicate the reference of a print template listing the reports to use in priority (and the number of copies) with the documents used in commercial management. It is thus possible to specify the reports and to reserve them to some BPs.

 

To enable an electronic invoicing for Portuguese legislation, you must select a PDF print template code or invoice report compatible with Portuguese legislation. The archive destination for the template in PDF format is determined by the EFATPRT – Default destination for EFAT (LOC chapter, POR group) parameter setting.

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Tab Management

Presentation

Use this section to enter management information, such as:

  • A Payment hold check box that can be used to forbid payments in case of a major dispute, including on invoices that are good to pay.
  • The type, which can have the following values Normal, Prospect, Miscellaneous. The Prospect type is only used when sending requests for quotes to the supplier. The Miscellaneous type is used to trigger the automatic opening of an address entry window for all commercial documents (these are 'cover-all' suppliers that are not distinguished in accounting). The default category is Normal.
  • The customer number assigned to the company by the supplier. This is for information only.
  • The rate type (local menu where the standard values are editable) used to determine which rate will be used by default to find the currency conversion rate for the posting of invoices.
  • The authorized credit level, for a financial site and the actual credit level for the company at the supplier (this is used to control in real-time the entry of an order with the authorized credit level). The credit control is conditionned by the value of the corresponding check box: No control means that no control is made even if the credit level is updated, Hold means that all orders to the supplier have been blocked, Control means that the control will be carried out.
    Based on the OSTSCTL - Credit control level parameter (TC chapter, OST group), the credit control can be performed by company or by folder.
    Based on the OSTCHGTYP - Rate origin WIP ctrl. parameter (TC chapter, OST group), it can be performed for an historical rate or revised rate. If this control applies to a revised rate, the OSTTYPCUR - Rate type updated rate ctrl parameter (TC chapter, OST group) provides the type of rate that should be used. When the level of the control on credit is Folder, the control is always processed based on the revised rate, regardless of the value of the OSTCHGTYP parameter.
    The supplier credit amount is calculated in the following way: In order + Delivered not invoiced + Invoiced not posted + Accounting balance + Notes P/R (according to parameter OSTSDRAFT - Supplier credit notes P/R amount (TC chapter, OST group)).
    The credit is controlled according to the supplier's risk BP. If the risk BP is shared by several suppliers, the company's credit will be controlled the same way according to the risk BP by cumulating all the movements carried out for the various suppliers.
    The authorized credit amount cannot be accessed when the supplier is associated with a different risk BP. It can be viewed on the risk BP record. The displayed WIP is the risk BP.
  • A dispute status, which is used to warn the user during purchase request entry, order entry or invoice entry, or to block any new entry.
  • A free text that will be displayed during order entry.
  • The free statistical groups used in the statistics, but also as selection criteria in certain automatic processes.

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Fields

The following fields are present on this tab :

Miscellaneous

  • Supplier type (field BPSTYP)

This field is used to identify the supplier type from amongst the following:

  • Normal supplier,
  • Miscellaneous supplier: non referenced supplier
    On selection of the document, a window automatically opens for the entry of the address,
  • Prospect supplier: the selection of purchase documents is not authorized, only the entry of requests for quote is possible.
    A prospect can become a "Standard" supplier by a simple modification of this field.
  • Our customer no. (field BPCNUMBPS)

This optional field makes it possible to define a "supplier code" for the company on the customer system.

  • Rate type (field CHGTYP)

The rate type (local menu of which the standard values are modifiable) is used to determine the rate to be used by default to find the currency conversion rate for the purchase documents.

Use this field to specify a match code for the current supplier.
This match code comes from the Matching tolerance function.
For any new supplier, this field inherits from the code defined at the level of the associated supplier category. This code can be modified.

Reminder: The Three-way match is a reconciliation process used to validate the payment of an invoice, with a minimum and a maximum tolerance threshold. The reconciliation is carried out:

  • either between the invoice and the order,
  • or between the receipt and the invoice,
  • or in succession (order-receipt, then receipt-invoice).
  • Auto invoice code (field AUTINVCOD)

This field is used to indicate a value intended to complete the counter used for invoices generated in a self-invoicing process. It is indeed necessary to have a unique sequential number by supplier.
This value is mandatory if you create an invoice for this supplier, in a self-invoicing process.

Credit

  • Credit control (field OSTCTL)

This field is used to enter the control type chosen for the credit level and to check whether the orders risk to be block or not for financial reasons.

  • Authorized credit (field WOSTAUZAMT)

This is the amount of the maximum authorized credit level by the supplier. It is used if the credit level is set to the Checkedvalue.
SEEINFO This amount must be expressed in the currency of the folder.

 

  • Credit level total (field TOTAMT)
  • Payment hold (field PAYLOKFLG)

Flag used to specify if payments for this supplier are blocked or not. If they are blocked, invoices coming from this supplier are not taken into account during the processing of automatic payments.

  • Dispute (field DOUFLG)

In entry, when in dispute with the supplier, specify the behavior of:

  • Purchase requests
  • Purchase orders
  • Purchase invoices

Use this field to define how to manage a dispute from this supplier:

  • No - Authorize the transaction from this supplier.
  • Warning - Display a warning message for this supplier.
  • Hold - Block all new transactions from this supplier.

This field does not apply to invoices entered using the Supplier BP invoices function (GESBIS).

Notes

  • Supplier notes (field BPSNOTE)

Click on this icon to display a screen where you can:

  • Enter information on the supplier as a note. This information is available for inquiry in the functions that have been selected at the Note category level.
  • Define a validity period for the note.
  • Specify it the note must be displayed automatically.
  • Create multiple notes for the same supplier, and indicate if they must be displayed as a priority.

Notes are limited to a screen inquiry and cannot be printed.

For further information, see the documentation on Notes.

Statistical groups

Grid CAI assignment

  • CAI number (field CAI)

This field indicate the number root.

  • Validity date (field DATVLYCAI)

This field indicates the validity date of the root, which is provided by the admin.

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Tab Financials

Presentation

Use this section to enter financial or accounting information such as:

  • The bill-to business partner, the pay-to business partner and the group supplier.
  • The risk BP, on which the calculation of the supplier's financial credit is based.
  • A DAS2 check box is used to indicate whether this supplier is likely to invoice services that must be declared for DAS2 (France). This criteria is not the only once taken into account, because this also depends on the account used for each charge line and also the information is modifiable on the invoice line. In this case, a service provider code identifies the supplier for DAS2.
  • The tax rule and the exemption number in case of a partial exemption.
  • The payment terms, an early discount/late charge code that is used to define charge rates for late payments and discount rates for early payments, a default payment bank that will be used to pay the supplier, as well as the accounting code, which is used to give the accounting characteristics for the entries linked to the supplier (purchase invoices, fixed asset invoices, invoices to be received, prepayments made, notes P/R to be paid, etc.) by defining control accounts, accounts, or even sub-accounts used by default in the automatic journals.
  • Analytical dimensions for each dimension type, which can be used as the default value in the different documents linked to the supplier management, using the corresponding setup.

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Fields

The following fields are present on this tab :

BPs

  • Bill-by BP (field BPSINV)

This field is used to enter the invoicing supplier code, initialized by default to the supplier code entered in the header.
The supplier can be another supplier chosen from the supplier table.

  • field BPAINV

This field is used to indicate an invoicing address code for the selected invoicing supplier. The address by default of this supplier is suggested.

When entering the invoice, this address code is suggested. This code is modifiable if necessary.

  • Pay-to (field BPRPAY)

This field is used to enter the code of the supplier to pay, initialized by default to the supplier code entered in the header.
The supplier can be another supplier chosen from the supplier table.

The pay-to BPs are either suppliers or miscellaneous BPs.

  • field BPAPAY

This field is used to indicate an invoicing address code for the selected paid supplier. The address by default of this supplier is suggested.
When entering the invoice, this address code is suggested. This code is modifiable if necessary.

  • Supplier group (field BPSGRU)

This supplier group code, initialized by default with the supplier code entered in the header.

  • Risk BP (field BPSRSK)

This field is used to specify whether the BP code risks to be initialized with the invoicing supplier, the paid BP or the BP group (depending on the common data setup INIBPRRSK).
This code can be manually modified. The credit control is carried out for this supplier.

This field is used to specify the supplier accounting code.

The account structure is not compulsory data.
If a structure is loaded, it is submitted to be applied upon the creation of a supplier invoice (once the invoice tax excl. amount has been entered).

 

  • DAS2 (field DADFLG)

When this box is checked, it indicates that the supplier is a contractor within the framework of the DASD2 declaration (French procedure).

  • 281.5 (field FLG281)

 

This information is used to extract the fee lines (linked to a service supplier), the accounting postings (linked to a supplier), in order to generate the DADS.
If the field 'service supplier' is empty, the user considers that the 'service supplier' code is the supplier code.

  • 1099 form (field FRM1099)

The 1099 form type indicates that a supplier is reportable to the Internal Revenue Service for payments made. Possible valid values are: None. Misc, Dividend or Interest. This value defaults from the supplier to the invoice, but can be changed.

  • 1099 box (field BOX1099)

Default box number with respect to which payments must be printed on the 1099 record. Box numbers vary according the 1099 record at use. This value defaults from the supplier to the invoice, but can be changed. Inactive 1099 boxes are not available for selection.

Grid Analytical

This grid is automatically loaded with the default dimension types associated with the 'Supplier' basic data.

An analytical dimension is an element of the analytical chart of accounts on which accounting entries can be posted.

Each analytical dimension type represents a specific division of the company into a set of analytical payment attributes.

An analytical dimension is thus an analytical payment attribute within a dimension type.

Payment

Enter the code associated by default to the current BP, used to define the payment conditions.
This code determines:

  • the payment method,
  • the open item type,
  • the scheduling of payments (one or several open items: immediate credit, 30 days, end of the month, etc.)

When managing this table, it is possible to simulate the calculation rules applied in entry mode.

Enter the code linked by default to the current BP, which is used to identify the early discount and late charge rates (up to 12). These rates will be applied to a payment depending on a number of early or late days compared to the due date.

  • The automatic payment proposal processing automatically assigns this bank account to all the payments of this BP.
  • This bank code is used in the Bank field of the Data tab in the Cash forecasts function.

 SEEINFO This code is controlled in the table of Bank accounts.

This field is used to define the distribution of bank expenses between the issuer and the benificiary. At the end of the process, this information is given in the generated bank files.
SEEREFERTTO See the documentation on charges posting of the Bank accounts function for further information on bank charges.

The following codes are suggested:

  • '13' : recipient,
  • '14' (default code): issuer or recipient,
  • '15' : issuer.

Grid Withholdings

List of retention codes to be applied to the supplier.

Taxes

A tax rule represents the tax territoriality principle, in other words, the calculation rules to be applied to determine the tax amount.
As a general rule, by crossing a tax rule linked to the BP with a Tax level, you can determine the tax code to be applied to the document line and so, to the entry line.
In this field, you enter the tax rule associated with the BP: this tax rule will be suggested by default in all the transactions used by this business partner.

  • Amount type (field PURPRITYP)

This flag is used to determine whether the amounts of the supplier BP invoices Exclude tax or Include tax.

It is initialized from the supplier category value.

  • VAT collection agent (field AGTPCP)

This field is used to specify if the supplier is also the tax receiver.
SEEINFOThis information depends on the Argentinian legislation.

  • Regional taxes (field AGTSATTAX)

Once checked, this box is used to specify that the provincial taxes must be applied to the selected customer.
The regional tax grid can then be accessed. It is only about the management of BP invoices. The regional taxes from the sales and purchase modules are managed via the Tax determination function.

Withholding tax

  • Allowance rate (field RITRAT)

Special allowance rate specific to the supplier.

VAT Spain

  • Cash VAT tax rule (field CSHVAT)

 

  • Cash VAT limit date (field CSHDAT)

 

Table number 4

  • Name of partner (field RITPARNAM)

 

  • Partner held (field RITPARCOE)

No help linked to this field.

Grid Regional taxes

  • Description (field DESSAT)

This is the title of the province.

  • Application (field TYPAPL)

This field is used to define whether the tax applies upon entry in the region, upon exit, or always.

  • Collection (field FLGSATTAX)

This field is designed to specify if the customer is a tax collector for this provincial tax.

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Tab Ranking

Presentation

Use this section to enter notes (ranking) on the supplier quality for information purposes. The different rankings are weighted according to coefficients in order to obtain a general ranking.

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Fields

The following fields are present on this tab :

Block number 5

Ranks and weighting

  • Notes (field TEXT0)

 

  • Coefficients (field TEXT1)

 

  • Lead time (field LTIMRK)

This is the mark given to the supplier for the respect of lead times.

  • field LTIMRKCOE

Coefficient applied to the assigned note for the lead-time adherance for this supplier.
This coefficient is initialized by default to a value given to this coefficient in the supplier category table.

  • Price (field PRIMRK)

This is the mark given to the supplier for respecting the price list

  • field PRIMRKCOE

Coefficient applied to the assigned grade for price compliance for this supplier.
This coefficient is initialized by default to a value given to this coefficient in the supplier category table.

  • Quality (field QLYMRK)

Grade given to the supplier for quality compliance for this product.

  • field QLYMRKCOE

Coefficient applied to the grade assigned for quality compliance for this supplier.
This coefficient is initialized by default to a value given to this coefficient in the supplier category table.

  • Quantity (field QTYMRK)

This is the mark given to the supplier for respecting quantities.

  • field QTYMRKCOE

Coefficient applied to the grade assigned for quantity compliance for this supplier.
This coefficient is initialized by default to a value given to this coefficient in the supplier category table.

  • Free (field RSKMRK)

This is a maken given to the supplier according to free criteria.

  • field RSKMRKCOE

Coefficient applied to the grade assigned according to a criterion left free for this supplier.
This coefficient is initialized by default to a value given to this coefficient in the supplier category table.

  • Total rank (field GENMRK)

 

Grid

  • Identifier (field ID)

This is the grid line used as a basis for the graph that contains the notes.

  • Description (field DESMRK)

This field indicates the title of the grid line.

  • Lead time (field LTIMRKVAL)
  • Price (field PRIMRKVAL)
  • Quality (field QLYMRKVAL)
  • Quantity (field QTYMRKVAL)
  • Free (field RSKMRKVAL)

Block number 3

Block number 4

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Tab Bank details

Presentation

Use this section to record bank details and associated paying banks. The entry format of the Bank account no. depends on the country where the bank is based.

The information related to international transfers can be accessed in record mode, usually the Intermediate bank. An intermediary bank is often used in commercial relationships with non-western countries at the request of the BP or issuing bank.

If the conditions are met, the Enter bank details window is automatically displayed when leaving the Country field. In this window, you can enter the bank details in your local format.
SEEREFERTTO. Please refer to Enter bank details window documentation for more information.

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Fields

The following fields are present on this tab :

Grid

  • Addr. (field BIDBPAADD)

This field specifies the address code of the bank ID number, controlled in the address codes of the managed entity (company, site, customer, supplier, etc.).

This address code is used to define the default bank ID number in payment contexts where an address is known.

This code is used to identify the country associated with the bank account.

The country table, containing this code, gathers information that is useful to perform controls, and namely:

  • the telephone number format,
  • the format of the number identifying a company or an activity (SIRET, NAF in France),
  • the postal code format,
  • the format of the Bank ID number code.
  • IBAN prefix (field IBAN)

The IBAN is an internationally agreed standard of identifying bank accounts in a structured format.
IBAN can be used in national and/or international payment transactions (country-specific).
The IBAN code consists of: 

  • A 4-digit IBAN prefix composed of:
    - a country code (2 letters),
    - two check digits
    This prefix is displayed. It is calculated automatically upon the bank account information entered in the Bank ID field.the bank account information (country specific, up to 30 characters).
  • The bank account information (country-specific, up to 30 characters).

SEEINFO Not all countries support IBAN. The IBAN format applied to bank accounts is controlled by the IBAN management option, defined in theCountries setup.

  • Bank account number (field BIDNUM)

This number identifies the bank account of a given bank, for a given country.
The entry format of a Bank ID number is dependent on the country where the bank is domiciled.

For the entry of the Bank ID number to be correct, it is necessary to predefine the entry format in the Countrytable and to activate the option IBAN managementfor those countries supporting the IBAN format.

SEEINFO In case of an IBAN this field has to contain the bank account part only, beginning from the 5th character of the IBAN. The first 4 characters of the IBAN (country code and check digits) are calculated automatically and displayed in the field IBAN pref.

  • Default (field BIDNUMFLG)

This field indicates that the Bank ID number is used by default for payments (in the absence of a more precise rule).

  • WL (field WLISTA)

This field displays the Whitelist status for the supplier as follows:

  • OK (date) in green: This supplier is on the list for the current date.
  • OK (date) in yellow: This supplier was on the list when last checked on this date.
  • Not OK (date) in red: This supplier is not on the list since the last check.
  • Not checked yetin grey: This supplier has never been checked.
  • N/A: The No WL verification check box is selected for this supplier.

This code is used to identify the currency associated with the bank account.
It is managed in the currencytable.

It is recommended to use the ISO coding during the creation of a new currency.

  • ISR customer no. (field BVRNUM)

This field requires the KSW – Swiss localization activity code to be active. You use it to enter the ISR customer number for the given bank account. This number is used for payments with ISR number (inpayment slip with reference numbers).

For suppliers, the ISR customer no. is also used to search for a matching BP account if support for ISR code line entry on purchase invoices is active in the SWIPURBVR - Swiss ISR usage purchasing parameter (LOC chapter, SWI group).

Refer to the Swiss legislation guide on the How to tab for more details regarding payment and ISR setup.

  • Paying bank (field PAB1)

This field, which is mandatory for payments, defines the paying bank related to the account number. The first line contains the name of the bank.

  • Beneficiary (field BNF)

This field identifies the bank account's beneficiary (physical or moral person).

  • Paying bank 2 (field PAB2)

 

  • Paying bank 3 (field PAB3)

 

  • Paying bank 4 (field PAB4)

 

  • BIC code (field BICCOD)

To perform the automatic processing of payment requests, the sender's bank needs the BIC code of the recipient's bank. This code is an ISO identifier managed by the international banking system, and namley the SWIFT system, the Society for Worldwide Interbank Financial Telecommunication.

The BIC code is the only standardized bank identifier at international level. All banks can have a BIC code, even if they do not belong to the SWIFT network.

The BIC code can be comprised of 8 to 11 characters. In both cases, the first 8 characters of the BIC code generally designate the bank's head office and are structured under the form BBBB PP AA, which correspond to the following information :

  • BBBB is the bank mnemonic identifier;
  • PP is the ISO country code;
  • AA stands for a service code often to serve a geographic purpose.
  • Intermediary bank (field MIDPAB1)

In some commercial exchanges, upon the request of Business Partners or payment issuing banks, an intermediary bank is sometimes used. For that purpose, the identifiers of this bank must be entered (BIC code, paying bank, country). This information remains optional (it does not need to be entered if no intermediary bank is mandatory).

  • Paying bank 1 (field MIDPAB2)

 

  • Paying bank 2 (field MIDPAB3)

 

  • Paying bank 3 (field MIDPAB4)

 

  • BIC code (field MIDBICCOD)

 

 

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Action icon

Copy bank details
Enter bank details

Use this window to enter the bank details in your local format. The information entered is then automatically recovered in the fields of the Bank details section.

This window automatically opens when leaving the Country field, but only if the following conditions are met:

 

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Tab Contacts

Presentation

On this final section, you can list the contact persons for the BP in the Contacts table. You must also indicate which contact should be used as the default contact.

To add a new contact:

  • Select an existing Contact (relationship) or 
  • Create a new contact:
    - Enter a code
    - Add details: the code is automatically created when saving the record.
    In both cases, the contact is automatically recorded in the Contacts table.

The management of contacts, from the Contacts function, ensures that each individual record is unique.  A contact with a particular role can be recorded as one Contact amongst many business partners. Based on the record of one contact, you can create relationships across records, provided that they have a Contact section.

SEEINFOA contact can only be recorded as a person or individual. Only identification information such as the last name, first name, date of birth are common to the contact (relationship) record and to the details entered at the general contact level.
Other information such as the address, email address, landline number and fax number are managed separately between the relationship contact and each one of his/her contacts. At the 'relationship' contact level, the information is considered as being personal; at the general contact level, the information is considered as being professional
. 

SEEREFERTTO For further examples, see the documentation of the Contacts function.

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Fields

The following fields are present on this tab :

Grid

  • Contact code (field CCNCRM)

Each contact associated with the record is identified by a unique key, which is used to share contacts common to several records.

This code defines the unique key in the contact record. This key can be manually assigned or if it is not entered, it can be defined via the CCN sequence number counter.

By default, this counter is constructed of a sequence number made up of 15 characters. To ensure the correct functioning of the Contact object, it is strongly advised to conserve these standard characteristics.

  • Last name (field CNTLNA)

Indicate the family name of the contact.

Detail

  • Contact code (field KCCNCRM)

Each contact associated with the record is identified by a unique key, which is used to share contacts common to several records.

This code defines the unique key in the contact record. This key can be manually assigned or if it is not entered, it can be defined via the CCN sequence number counter.

By default, this counter is constructed of a sequence number made up of 15 characters. To ensure the correct functioning of the Contact object, it is strongly advised to conserve these standard characteristics.

  • Title (field KCNTTTL)

This field associates a closing sentence with a contact's family name.
This information can be used on documents to be sent to contacts.

  • Last name (field KCNTLNA)

Indicate the family name of the contact.

  • First name (field KCNTFNA)

First name of the contact.

  • Function (field KCNTFNC)

This field specifies the position of the contact to choose from a pre-defined list.
The local menu 233 lists all the possible positions.

  • Department (field KCNTSRV)

This text field indicates the department to which the contact is attached.
No table controls this information.

This field, used for information purposes, makes reference to the codes entered in miscellaneous table 906.

This fields specifies the language of the contact.

  • Date of birth (field KCNTBIR)

Birthday of the contact, only present for information reasons.

 

  • Address (field KCNTADD)

The value of the contact's address code, controlled in the address codes of the supported entity ( Addressestab), is for information purposes only. This code is used to link the contact to one of the addresses of the relevant entity.

  • field KADDNAM

Title associated with the previous code.

  • Email (field KCNTWEB)

This field is used to specify the email address of the contact.

  • Telephone (field KCNTTEL)

This field indicates the phone number. Its entry format depends on the country.
The level of control applied to the entered number format depends on the general parameter CTLTEL - Phone number control (SUP chapter, INT group).

  • Fax (field KCNTFAX)

This field specifies the fax number where the entry format is identical to that of the telephone and is dependent on the country.

  • Mobile phone (field KCNTMOB)

This field indicates the mobile phone number with an entry format that depends on the country.

  • Mailing prohibited (field KCNTFBDMAG)

This indicator is designed to specify that the contact cannot be selected in a mailing.

  • Default contact (field KCNTFLG)

When this box is checked, the selected contact becomes the default contact.

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Action icon

Contacts
Copy contacts

 

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Reports

By default, the following reports are associated with this function :

 BPS1 : Supplier record

 PURFCS : Purchase costs

 BPSUPPLIER : Supplier listing

This can be changed using a different setup.

Specific buttons

Click this action to access the existing price lists for this supplier.
A screen displays the types of price list rules where relevant lines can be found for the supplier. Click Price list detail on the selected line to view the conditions details.

Click this action to access the inquiry related to the Product-supplier record.

Menu bar

Text menu

Order

Click this action to enter an edited text on the return notes sent to the supplier.

Return note

Click this action to enter an edited text on the return notes sent to the supplier.

Zoom menu

Notes P/R not due 1

You can manage up to three notes payable/receivable, for distinct purposes. This is defined at the payment transaction setup level: on the Steps section, you can choose, define and update a note payable/receivable when an intermediate posting is performed.

Notes P/R not due 2
Notes P/R not due 3
Postponements

Inquiries menu

Orders

Click this action to view the orders for this specific supplier.

Order line

Click this action to view the order lines for this specific supplier.

Receipts

Click this action to view the receipts for this specific supplier.

Receipt line

Click this action to view the receipt lines for this specific supplier.

Invoices

Click this action to view the invoices for this specific supplier.

Invoice line

Click this action to view the invoice lines for this specific supplier.

Returns

Click this action to view the returns for this specific supplier.

Return line

Click this action to view the return lines for this specific supplier.

Finances / Accounts

Click this action to access the supplier account management (including all control accounts by default).
From each inquiry line, click the Actions icon to access the details of the corresponding document (order, receipt note, invoice, return note). The account inquiry provides access (zoom) to multiple elements according to the selection.

Finances / BP situation

Click this action to view the global situation of the supplier, with regards to their schedule, financial and commercial credit levels, and last operations performed for this supplier.

Finances / Risk analysis

Click this action to display the BP situation when directly positioned on the information relative to the supplier financial risk.

Finances / Last operations

Click this action to display the BP situation when directly positioned on the information relative to the last operations carried out for this supplier.

Finances / Aged balance

Click this action to access the aged balance of the supplier at the given date.

Action menu

Create order

Click this action to directly access the Order creation function. You can thus view the selection list of performed orders or orders to be performed for the selected supplier. If you click New, the order is pre-entered with the supplier information. The order is then considered as a performed order.

Create invoice

Click this action to directly access the Invoice creation function. You can thus view the selection list of completed invoices or invoices to be completed for the selected supplier. If you click New, the invoice is pre-entered with the supplier information. The invoice is then considered as a completed invoice.

Actions / Whitelist check

Click this option to check if the supplier's bank account is on the Whitelist. The status and verification date display in the WLcolumn in the Bank details grid as follows:

  • OK (date) in green: This supplier is on the list for the current date.
  • OK (date) in yellow: This supplier was on the list when last checked on this date.
  • Not OK (date) in red: This supplier is not on the list since the last check.
  • Not checked yetin grey: This supplier has never been checked.
  • N/A: The No WL verification check box is selected for this supplier.

Local menus

In addition to the generic error messages, the following messages can appear during the entry :

The supplier is not active

This message is displayed when entering the Invoicing BP field when the chosen business partner is a supplier declared as Non active in the corresponding record.

Price structure is not identical

This message is displayed when entering the Invoicing BP field when the price list structure code associated with the chosen supplier is not identical with that of the supplier being processed. In fact, when the invoicing supplier is different or the supplier in the order, it is imperative that the price list structure that determines the make up of the price is strictly identical in order to avoid any consistency problems during the invoice control.

Tables used

SEEREFERTTO Refer to documentation Implementation