View
136
Download
4
Category
Preview:
Citation preview
Accounts Payables Setup - India LocalizationSet Up Steps
Install or upgrade Payables Create application user sign-ons and passwords Define your Chart of Accounts Define your Accounting Period Types and Accounting Calendar Periods Enable Currencies that you plan to use Define a Set of Books Assign your Set of Books to a Responsibility
Choose a Primary Set of Books
Define Payment Terms Setup ŒInvoices ŒPayment TermsDefine Your Purchase Order Matching Tolerances Define Invoice Approval Codes Define Distribution Sets Define Purchasing Lookups (Required With Default)If you want to use Automatic Interest Calculation, define Payment Interest Rates
If you use Payables to enter employees in your organization, enter employee QuickCodes Enter Locations Enter Employees
Define Financials options Define Payables options Define Payment Programs Define any additional Payment Formats Update country and territory information and assign flexible address formats Define Bank Accounts Open Your Accounting Periods Define Request Sets
Set up Print Styles and Drivers for the Supplier Mailing Labels Report Define special calendars for key indicators, and recurring invoices Implement Budgetary Control in General Ledger Implement Sequential Voucher Numbering Define Descriptive Flexfields
To enter foreign currency transactions, define additional Rate Types, and enter your Daily Rates
Use the Application Developer responsibility to set the GL Set of Books ID profile option to Updateable
Use the System Administrator responsibility to set the GL Set of Books Name profile option. If you are performing a single set of books installation, set the option for the Oracle Payables application. If you are performing a multiple set of books installation, set the option for each unique combination of organization and responsibility
If you want to use Payables to enter employee expense reports, create templates for entering expense reports
If or Oracle Purchasing is installed, you must define at least one Inventory Organization before defining Financials Options
Define the format for the Expense Distribution Detail Report, and define the format for the Invoice Aging Report
RRRRORR
OR
R
RRRORDORDO
OORCR
CRRRRDOORRO
OOOOOO
Required / Optional
Supplementary Data Set Up Control Instance
Pay Group aPayment Terms aDistribution Set aAdditional Supplier Info aBank Details aTax Stuctures aPurchase Lookups(TDS) aExpense Report Template aSpecial Calenders aAging Periods aProfile Options aPayables and Financial Options aTDS Year aBOE Agent aSet UpsFolders From User
Payment Formats aThru Bank aSIDBI aFuture Focus
PrepaymentsPay on ReceiptsLC PaymentResponsibilitiesFunction SecurityCustom Reports For FutureScheduling
Knowledge Transfers
TARS So Far
DELIVERABLES AsIs, ToBe, GAP, Configuration Guide, Funcional Spec,
TROUBLE SHOOTING GUIDE Invoice Processing, Payment Processing
MASTER SET UP DATA So Far
WHITE PAPERS & TIPS
INTELLIGENCE MODULE & OFA
Dos & Donts
EventsSupplier Listing from LegacyNull Site Level UsageTax Payer ID For Netting CustomersClasification -> Type Reporting PurposeClassification -> Minority Owned Limited / Other Companies
Site Level Name / AddressGeneral Tab Site Uses
Supplier Notification DetailsAccounting Distribution Set
GL AccountsControl Invoice Amount Limit
Invoice Match Option Payment Terms
PayGroupInvoice Currency Payment CurrrencyPayment PriorityRemittance E-MailTerms Date BasisPay Date BasisPayment MethodAlways Take Discount
Bank AccountsEDI Invoice TaxTax ReportingPurchasing Payment On Receipt
Ship To LocationBill To LocationShip ViaFOBFreight TermsCountry Of Origin
Values
Pay Purchasing Primarye-Mail
PO/Receipt
Invoice/SystemDue / DiscountCheckEnable/ Disbale
Pay On Alternate SiteInvoice Summary LevelCreate Debit Memo For RTS Transaction Enable/Disable
Code MeaningADVANCE PAYMENT SUPPLIERS ADVANCE PAYMENT SUPPLIERSBANK TRANSFER BANK TRANSFERCASH DISCOUNT SUPPLIERS CASH DISCOUNT SUPPLIERSCASH PARTIES CASH PARTIESCIVIL CONTRACT PARTIES CIVIL CONTRACT PARTIESCOURIER COURIERCREDIT CARD PAYMENTS CREDIT CARD PAYMENTSDEBIT NOTES DEBIT NOTESDIRECTORS DIRECTORSEMPLOYEES EMPLOYEESFOREIGN SUPPLIERS FOREIGN SUPPLIERSFREIGHT PARTIES FREIGHT PARTIESGROUP COMPANY GROUP COMPANYLITIGATION PARTIES LITIGATION PARTIESOPENING BALANCES OPENING BALANCESOTHERS OTHERSRAW MATERIAL SUPPLIERS RAW MATERIAL SUPPLIERSRECURRING PAYMENT PARTIES RECURRING PAYMENT PARTIESRETENTION AMOUNT RETENTION AMOUNTSALARY BANKS SALARY BANKSSALES COMMISSION SALES COMMISSIONSIDBI SUPPLIERS SIDBI SUPPLIERSSTATUTORY AUTHORITIES STATUTORY AUTHORITIESSUB CONTRACT SUB CONTRACTSUB CONTRACT - FETTLING SUB CONTRACT - FETTLINGTHROUGH BANK SUPPLIERS THROUGH BANK SUPPLIERS
DescriptionADVANCE PAYMENT SUPPLIERSBANK TRANSFERCASH DISCOUNT SUPPLIERSCASH PARTIESCIVIL CONTRACT PARTIESCOURIERCREDIT CARD PAYMENTSDEBIT NOTESDIRECTORSEMPLOYEESFOREIGN SUPPLIERSFREIGHT PARTIESGROUP COMPANYLITIGATION PARTIESOPENING BALANCESOTHERSRAW MATERIAL SUPPLIERSRECURRING PAYMENT PARTIESRETENTION AMOUNTSALARY BANKSSALES COMMISSIONSIDBI SUPPLIERSSTATUTORY AUTHORITIESSUB CONTRACTSUB CONTRACT - FETTLINGTHROUGH BANK SUPPLIERS
NAMEDIRECT 7 DAYS - 1.5% CDDIRECT 15 DAYS - 1% CDDIRECT 15 DAYS - 1.5% CDDIRECT 30 DAYS - 1.5% CD100% - ADVANCE PAYMENT100% - AGAINST PROFORMA INVOICEDIRECT - 15 DAYS - 2%CDDIRECT - 30 DAYS - 2%CDADVANCE PAYMENT AT 110%BANK AT SIGHT - 100%BANK HUNDI - 120 DAYSBANK HUNDI - 30 DAYSBANK HUNDI - 45 DAYSBANK HUNDI - 60 DAYSBANK HUNDI - 75 DAYSBANK HUNDI - 90 DAYSCAD - 30 DAYSCAD - CASH AGAINST DOCUMENTCAD - USUANCE AT 180 DAYSCAD - USUANCE AT 90 DAYSCOD - CASH ON DELIVERYCONFIRMED - LCDIRECT - 15 DAYSDIRECT - 30 DAYSDIRECT - 45 DAYSDIRECT - 60 DAYSDIRECT - 7 DAYSIMMEDIATELC - AT SIGHTLC - USUANCE AT 180 DAYSLC - USUANCE AT 45 DAYSLC - USUANCE AT 60 DAYSLC - USUANCE AT 90 DAYSNON CONFIRMED - LCORG - ON RECEIPT OF GOODSPAYMENT IN ADVANCETDS TERMS
By Irrevocable LOC in Your FavourBy Irrevocable and Confirmed LOC in Your FavourBy LOC in Your Favour Payable days sightOn Cash Against Document BasisPayment in Advance-By DD/TT/SWIFTOn Receipt of Goods-By DD/TT/SWIFT
25%ADVANCE - BALANCE THROUGH BANKAGAINST DELIVERY
DESCRIPTIONDIRECT 7 DAYS - 1.5% CDDIRECT 15 DAYS - 1% CDDIRECT 15 DAYS - 1.5% CDDIRECT 30 DAYS - 1.5% CD100% - ADVANCE PAYMENT100% - AGAINST PROFORMA INVOICEDIRECT - 15 DAYS - 2%CDDIRECT - 30 DAYS - 2%CDADVANCE PAYMENT AT 110%BANK AT SIGHT - 100%BANK HUNDI - 120 DAYSBANK HUNDI - 30 DAYSBANK HUNDI - 45 DAYSBANK HUNDI - 60 DAYSBANK HUNDI - 75 DAYSBANK HUNDI - 90 DAYSCAD - 30 DAYSCAD - CASH AGAINST DOCUMENTCAD - USUANCE AT 180 DAYSCAD - USUANCE AT 90 DAYSCOD - CASH ON DELIVERYCONFIRMED - LCDIRECT - 15 DAYSDIRECT - 30 DAYSDIRECT - 45 DAYSDIRECT - 60 DAYSDIRECT - 7 DAYSIMMEDIATELC - AT SIGHTLC - USUANCE AT 180 DAYSLC - USUANCE AT 45 DAYSLC - USUANCE AT 60 DAYSLC - USUANCE AT 90 DAYSNON CONFIRMED - LCORG - ON RECEIPT OF GOODSPAYMENT IN ADVANCETDS TERMS
By Irrevocable LOC in Your FavourBy Irrevocable and Confirmed LOC in Your FavourBy LOC in Your Favour Payable days sightOn Cash Against Document BasisPayment in Advance-By DD/TT/SWIFTOn Receipt of Goods-By DD/TT/SWIFT
25%ADVANCE - BALANCE THROUGH BANKAGAINST DELIVERY
Report Name DescriptionSupplier ReportsSupplier Reports
Supplier Balance Revaluation Report Identifies Suppliers with credit balancesSupplier Paid Invoice History Report
Invoice ReportsBatch Control Report
Invoice Aging Report
Invoice History Report
Invoice Hold Report
Recurring Invoices Report
Prepayment Status Report
Unrealized Gain/Loss Report
PaymentsCash Requirement Report
Final Payment Register
Payment Batch Control Report
Payment Gain/Loss Report
Stopped Payments Report Reports all stopped paymentsDiscounts Available Report
Posting ReportsAccounts Payable Journal Entry Audit Report
Accounts Payable Journal Entry Exception Report
of invoices or payments to your general ledger.
Accounts Payable Trial Balance Report
Transaction Reconciliation Report
Automatic Reports
Detailed Imformation about Supplier and Supplier Sites
Details payment history, discounts taken and frequency of partial payments.
Batch Control reports is used to review invoice batches.Provides information about invoice payments due within four time periodsQuickly identifies and review a detailed list of all activities pertaining to a specific invoice
Provides detailed information on Invoices on Hold.Reviews recurring invoice templates defined during a specific time period.Reviews the unapplied prepayments and unpaid or partially paid invoices for a supplier.
Review unrealized gains and losses on foreign currency invoices.
Report to forecast cash needs for invoice payments.Lists each payment created for a payment batch.Review detailed information about the payments printed in one or more payment batches.
Reports currency exchange rate gain and loss included in the payment.
Identifies payments where advantageous discounts can be taken.
Accounts Payable Journal Entry Audit Report to review invoices and payments that you transferred to your general ledger.
Identifies and resolve all exceptions that occurred when you initiated the transfer
Verifies that total accounts payable liabilities in Payables equal those in the general ledger.
Identifies the General Ledger journal entry lines imported from particular transactions in Payables.
Unaccounted Transsaction Sweep ReportPayables Approval ReportPreliminary Purged ListingsFinal Purged ListingsRejected Purged ListingsFinal Purge Statistics ReportSupplier Marge ReportPurchase Order Headers ReportInvoice Import ReportInvoice Import Exception ReportPayables Open Interface ReportsPreliminary Payment RegisterFinal Payment RegisterUpdate Matured Future Payment Status
Customized Reports
Bank Name Branch Name Account Name Primary1 AR AP NETTING DUMMY ARAP2 Bank of Baroda CBE Main BOB-CA2663 Cash on Hand U11 Unit-11 Cash-U114 Cash on Hand U12 Unit-12 Cash-U12 5 Cash on Hand U13 Unit-13 Cash-U13 6 Cash on Hand U21 Unit-21 Cash-U21 7 Cash on Hand U31 Unit-31 Cash-U31 8 Citibank Coimbatore CITI-70040039 HDFC Bank Avinashi Road HDFC-330000022
10 ICICI Anywhere Bank Trichy Road AWB-16050053511 ICICI Bank Trichy Road ICICI-160500019512 IDBI Bank Trichy Road IDBI-00610300000036513 Indian Bank CBE Main IB-CC16714 Indian Bank Dollar A/c CBE Main IB-USD-204415 SIDBI SIDBI SIDBI16 State Bank of India PN Palayam SBI-PNP171819202122
Cash Receipt Confirmation Remittance 90.00.000.4992.000.00.0090.00.000.2201.000.00.0011.00.000.2290.000.00.0012.00.000.2290.000.00.0013.00.000.2290.000.00.0021.00.000.2290.000.00.0031.00.000.2290.000.00.0090.00.000.2239.000.00.0090.00.000.2217.000.00.0090.00.000.2221.000.00.0090.00.000.2218.000.00.0090.00.000.2207.000.00.00 31.00.000.4995.000.00.00 31.00.000.4996.000.00.0090.00.000.2200.000.00.0090.00.000.2240.000.00.0011.00.000.2255.000.00.0090.00.000.2224.000.00.00
Factoring Short Term Debt Bank Charges Unapplied Receipt90.00.000.3310.000.00.0090.00.000.3310.000.00.0011.00.000.3310.000.00.0012.00.000.3310.000.00.0013.00.000.3310.000.00.0021.00.000.3310.000.00.0031.00.000.3310.000.00.0090.00.000.3310.000.00.0090.00.000.3310.000.00.0090.00.000.3310.000.00.0090.00.000.3310.000.00.00
31.00.000.4994.000.00.00 31.00.000.4993.000.00.00 31.00.000.3310.000.00.0090.00.000.3310.000.00.0090.00.000.3310.000.00.0011.00.000.3310.000.00.0090.00.000.3310.000.00.00
Unidentified Receipt On Account Receipt Unearned Discount Earned Discount90.00.000.3320.000.00.00 90.00.000.3310.000.00.0090.00.000.3320.000.00.00 90.00.000.3330.000.00.0011.00.000.3320.000.00.00 11.00.000.3310.000.00.0012.00.000.3320.000.00.00 12.00.000.3310.000.00.0013.00.000.3320.000.00.00 13.00.000.3310.000.00.0021.00.000.3320.000.00.00 21.00.000.3310.000.00.0031.00.000.3320.000.00.00 31.00.000.3310.000.00.0090.00.000.3320.000.00.00 90.00.000.3330.000.00.0090.00.000.3320.000.00.00 90.00.000.3330.000.00.0090.00.000.3320.000.00.00 90.00.000.3330.000.00.0090.00.000.3320.000.00.00 90.00.000.3330.000.00.0031.00.000.3320.000.00.00 31.00.000.3201.000.00.0090.00.000.3320.000.00.00 90.00.000.3330.000.00.0090.00.000.3320.000.00.00 90.00.000.3330.000.00.0011.00.000.3320.000.00.00 11.00.000.3310.000.00.0090.00.000.3320.000.00.00 90.00.000.3330.000.00.00
Document SequencesName Application From To TypeLMW S&P Invoices Oracle Payables 4-Mar-03 AutomaticLMW Check Payments Oracle Payables 4-Apr-03 AutomaticLMW Credit&Debit Memos Oracle Payables 4-Apr-03 AutomaticLMW Credit Notes Oracle Payables 4-Apr-03 AutomaticLMW Expense Reports Oracle Payables 4-Apr-03 AutomaticLMW Recurring Invoices Oracle Payables 4-Apr-03 AutomaticLMW Supplier Refunds Oracle Payables 4-Apr-03 AutomaticLMW Clear Payments Oracle Payables 4-Apr-03 Automatic
Document AsignmentsApplication Category Set of Books Method Start DateOracle Payables Check Payments Lakshmi Machine Works Ltd. 5-Apr-03Oracle Payables Clearing Payment Lakshmi Machine Works Ltd. 5-Apr-03Oracle Payables Credit Memo InvoiLakshmi Machine Works Ltd. 5-Apr-03Oracle Payables Debit Memo Invoi Lakshmi Machine Works Ltd. 5-Apr-03Oracle Payables Expense Report InLakshmi Machine Works Ltd. 5-Apr-03Oracle Payables Credit Note Invoic Lakshmi Machine Works Ltd. 5-Apr-03Oracle Payables Prepayment Invoi Lakshmi Machine Works Ltd. 5-Apr-03Oracle Payables Recurring StandarLakshmi Machine Works Ltd. 5-Apr-03Oracle Payables Standard Invoices Lakshmi Machine Works Ltd. 4-Mar-03Oracle Payables Supplier Refund Lakshmi Machine Works Ltd. 5-Apr-03
Convention Used Type / year / Sl.no 1 / 3/ 00001
Type1 - Check Payments2- Standard Invoice & Prepayment Invoices3- Debit / Credit Memos4- Credit Notes5- Expense Reports6 - Recurring Invoices7- Supplier Refunds8- Clear Payments
Message Initial Value23000011300001330000143000015300001630000173000018300001
End Date SequenceLMW Check PaymentsLMW Clear PaymentsLMW Credit&Debit MemosLMW Credit&Debit MemosLMW Expense ReportsLMW Credit NotesLMW S&P InvoicesLMW Recurring InvoicesLMW S&P InvoicesLMW Supplier Refunds
Payment ProgramsName Type Registered NameLMW Indian Bank Format Payments LMWFINR101LMW Yourselves Indian Bank Format Payments LMWFINR102LMW Ourselves Indian Bank Format Payments LMWFINR103LMW ICICI Bank Format Payments LMWFINR104LMW Yourselves ICICI Bank Format Payments LMWFINR105LMW Ourselves ICICI Bank Format Payments LMWFINR106LMW Bank Of Baroda Format Payments LMWFINR107LMW Yourselves Bank Of Baroda Format Payments LMWFINR108LMW Ourselves Bank Of Baroda Format Payments LMWFINR109LMW ICICI Anywhere Bank Format Payments LMWFINR110LMW Yourselves ICICI Anywhere BankFormat Payments LMWFINR111LMW Ourselves ICICI Anywhere Bank Format Payments LMWFINR112LMW All Other Banks Format Payments LMWFINR113LMW Debit Advice Remittance Advice LMWFINR121LMW Cash Voucher Format Payments LMWFINR116Payment FormatsFormat Name Payment Method Currency Remittance No. Of Invoices Separate RemittanceLMW Indian Bank Check Mulitiple After 50 LMW Debit AdviceLMW Yourselves Indian Bank Check Single/INR After 50 LMW Debit AdviceLMW Ourselves Indian Bank Check Single/INR After 50 LMW Debit AdviceLMW ICICI Bank Check Single/INR After 50 LMW Debit AdviceLMW Yourselves ICICI Bank Check Single/INR After 50 LMW Debit AdviceLMW Ourselves ICICI Bank Check Single/INR After 50 LMW Debit AdviceLMW Bank Of Baroda Check Single/INR After 50 LMW Debit AdviceLMW Yourselves Bank Of Baroda Check Single/INR After 50 LMW Debit AdviceLMW Ourselves Bank Of Baroda Check Single/INR After 50 LMW Debit AdviceLMW ICICI AWB Check Single/INR After 50 LMW Debit AdviceLMW Yourselves ICICI AWB Check Single/INR After 50 LMW Debit AdviceLMW Ourselves ICICI AWB Check Single/INR After 50 LMW Debit AdviceLMW All Other Banks Check Single/INR After 50 LMW Debit AdviceLMW Cash Voucher Check Single/INR After NAPayable DocumentsBank Name Account Number Document Name Payment Format Document Numbers
Last Used Last Available
Cash On Hand U11 Cash-U11 Cash Voucher LMW Cash Voucher 11300000 11399999Cash On Hand U12 Cash-U12 Cash Voucher LMW Cash Voucher 12300000 12399999Cash On Hand U13 Cash-U13 Cash Voucher LMW Cash Voucher 13300000 13399999Cash On Hand U21 Cash-U21 Cash Voucher LMW Cash Voucher 21300000 21399999Cash On Hand U31 Cash-U31 Cash Voucher LMW Cash Voucher 31300000 31399999
Convention Used
Unit / Year / Sl.No 11 / 3 / 00001
Payables Check DocumentsBank Name Branch Name Bank Accounts Name Bank Account Number
BANK OF BARODA / BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266Bank Of Baroda CBE Main Bank Of Baroda - BOB-CA266 BOB-CA266
ICICI BANK / ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195ICICI Bank Trichy Road ICICI - ICICI-1605000195 ICICI-1605000195
ICICI ANYWHERE BANK / AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535ICICI Anywhere Bank Trichy Road ICICI Anywhere Bank - AWB-1 AWB-160500535
INDIAN BANK / IB-CC167Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167
Indian Bank CBE Main Indian Bank - IB-CC167 IB-CC167CITI BANK /CITI-7004003
Citi Bank Coimbatore CitiBank - CITI-7004003 CITI-7004003HDFC BANK / HDFC-330000022
HDFC Bank Avinashi Road HDFC - HDFC-330000022 HDFC-330000022SIDBI
SIDBI SIDBI SIDBI SIDBI
Payables Check DocumentsDocument Name Disbursement Type Payment Format Last Used Last Available
BANK OF BARODA / BOB-CA266CombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombined
ICICI BANK / ICICI-1605000195CombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombined
ICICI ANYWHERE BANK / AWB-160500535CombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombined
INDIAN BANK / IB-CC167CombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombinedCombined
CombinedCITI BANK /CITI-7004003
CombinedHDFC BANK / HDFC-330000022
CombinedSIDBI
Combined
LMW Bank Of Baroda LMW Indian Bank LMW ICICI BankLMW Yourselves Bank Of Baroda LMW Yourselves Indian Bank LMW Yourselves ICICI BankLMW Ourselves Bank Of Baroda LMW Ourselves Indian Bank LMW Ourselves ICICI Bank
LMW ICICI AWB LMW All Other BanksLMW Yourselves ICICI AWBLMW Ourselves ICICI AWB
Template Name Unit 11 Exp Report TempDescription LMW Unit 11 Expense Report Template - TMD PNP
Expense Item Item Type GL AccountUN1 - Bus/Train/Air Fare Item 11.00.000.8042.000.00.00UN1 - Lodging Expenses Item 11.00.000.8042.000.00.00UN1 - Food & Tiffin Expenses Item 11.00.000.8042.000.00.00UN1 - Travelling & Conveyance Item 11.00.000.8042.000.00.00UN1 - Telephone & Telegrams Item 11.00.000.8042.000.00.00UN1 - Purchase As Per Bill Item 11.00.000.8042.000.00.00
Template Name Unit 12 Exp Report TempDescription LMW Unit 12 Expense Report Template - TMD Kaniyur
Expense Item Item Type GL AccountUN2- Bus/Train/Air Fare Item 12.00.000.8042.000.00.00UN2- Lodging Expenses Item 12.00.000.8042.000.00.00UN2- Food & Tiffin Expenses Item 12.00.000.8042.000.00.00UN2- Travelling & Conveyance Item 12.00.000.8042.000.00.00UN2- Telephone & Telegrams Item 12.00.000.8042.000.00.00UN2- Purchase As Per Bill Item 12.00.000.8042.000.00.00
Template Name Unit 13 Exp Report TempDescription LMW Unit 13 Expense Report Template - TMD S&R
Expense Item Item Type GL AccountS&R- Bus/Train/Air Fare Item 13.00.000.8042.000.00.00S&R- Lodging Expenses Item 13.00.000.8042.000.00.00S&R- Food & Tiffin Expenses Item 13.00.000.8042.000.00.00S&R- Travelling & Conveyance Item 13.00.000.8042.000.00.00S&R- Telephone & Telegrams Item 13.00.000.8042.000.00.00S&R- Purchase As Per Bill Item 13.00.000.8042.000.00.00
Template Name Unit 21 Exp Report TempDescription LMW Unit 21 Expense Report Template - MTD Arasur
Expense Item Item Type GL AccountMTD- Bus/Train/Air Fare Item 21.00.000.8042.000.00.00MTD- Lodging Expenses Item 21.00.000.8042.000.00.00MTD- Food & Tiffin Expenses Item 21.00.000.8042.000.00.00MTD- Travelling & Conveyance Item 21.00.000.8042.000.00.00MTD- Telephone & Telegrams Item 21.00.000.8042.000.00.00MTD- Purchase As Per Bill Item 21.00.000.8042.000.00.00
Enable For Internet Expense
Enable For Internet Expense
Enable For Internet Expense
Enable For Internet Expense
Template Name Unit 31 Exp Report TempDescription LMW Unit 31 Expense Report Template - MTD Foundry
Expense Item Item Type GL AccountFDY- Bus/Train/Air Fare Item 31.00.000.8042.000.00.00FDY- Lodging Expenses Item 31.00.000.8042.000.00.00FDY- Food & Tiffin Expenses Item 31.00.000.8042.000.00.00FDY- Travelling & Conveyance Item 31.00.000.8042.000.00.00FDY- Telephone & Telegrams Item 31.00.000.8042.000.00.00FDY- Purchase As Per Bill Item 31.00.000.8042.000.00.00
Template Name Unit 90 Exp Report TempDescription LMW Unit 90 Expense Report Template - CORP
Expense Item Item Type GL AccountCORP- Bus/Train/Air Fare Item 90.00.000.8042.000.00.00CORP- Lodging Expenses Item 90.00.000.8042.000.00.00CORP- Food & Tiffin Expenses Item 90.00.000.8042.000.00.00CORP- Travelling & Conveyance Item 90.00.000.8042.000.00.00CORP- Telephone & Telegrams Item 90.00.000.8042.000.00.00CORP- Purchase As Per Bill Item 90.00.000.8042.000.00.00
Enable For Internet Expense
Enable For Internet Expense
Prompt Req.Receipt Above
Hotel Bills To Be EnclosedTo Be Supported By BillsReceipt To Be Submitted For Rs.50 & Above Rs.50
Prompt Req.Receipt Above
Hotel Bills To Be EnclosedTo Be Supported By BillsReceipt To Be Submitted For Rs.50 & Above Rs.50
Prompt Req.Receipt Above
Hotel Bills To Be EnclosedTo Be Supported By BillsReceipt To Be Submitted For Rs.50 & Above Rs.50
Prompt Req.Receipt Above
Hotel Bills To Be EnclosedTo Be Supported By BillsReceipt To Be Submitted For Rs.50 & Above Rs.50
Justification Required
Justification Required
Justification Required
Justification Required
Prompt Req.Receipt Above
Hotel Bills To Be EnclosedTo Be Supported By BillsReceipt To Be Submitted For Rs.50 & Above Rs.50
Prompt Req.Receipt Above
Hotel Bills To Be EnclosedTo Be Supported By BillsReceipt To Be Submitted For Rs.50 & Above Rs.50
Justification Required
Justification Required
Justification Required
Justification Required
Justification Required
Justification Required
Justification Required
Justification Required
To-Be Process Maps - Reports - APAccounts Payable - Reports Master Tracking List
As-Is Reports & Formats Oracle Reports Pre-StationeryProcess Bills
Receipt Of Supplier Invoice Not Required NAMIN Printing - MIN Copy Not Required NAPO Verification Work Order Not Required NAPO Verification Supply Not Required NADebit Note For Discrepancy Yes YesRejection Invoice Verfication Not Required NAPayment List ( without Cheque No.) Not Required NADay Book - Purchase, Imports & Rej. Yes NoIT Debit Note Yes NoWarehouse Journal Yes No
Process Debit NoteRejection Invoice(IR/NIR Series) Yes YesDebit Note(DP/NDP Series) Yes YesDebit Note for Sub-Contract Yes YesDay Book(IR/DP) Yes No
Process Credit NoteCredit Note Copy Yes YesRe-Acceptance Memo Need to Look into the ProcessMIN Printing - MIN Copy Not Required NA
Process PaymentsBank Intimation ( Local & Foreign) Not Required NAAdvance Payment Letter Not Required NAEndorsement Letter Yes YesRetirement Letter to Bank Yes YesRetirement Letter - Foreign Yes YesRetirement Approval - WD Yes YesBank Debit Advice - Local & Imports Need to Look into the Process NAPayment Voucher - Local & Imports Need to Look into the Process YesL.R Covering Letter Yes YesRetirement Register - Local & Imports Not Required NAP.O Verification For Advance Payment Not Required NASIDBI Payment List - Party & Consol.. Yes YesDebit Note for Cash Discount Yes YesCapital Journal - Day Book Yes YesDebit Advice Voucher( Che. Payment) Yes YesPayment List Yes YesCheque Leaf… Yes YesForm 16A Yes YesMisc.. Payment Voucher Yes YesSupplier Statement Of Account Yes YesOutstanding Bills Yes YesPacking Certificates Yes YesForm8 & Form 18 Register Yes Yes
Internal/External
NANANANAExternalNANAInternalInternalInternal
ExternalExternalExternalInternal
External
NA
NANAExternalExternalExternalInternalNAExternalExternalNANAExternalExternalInternalExternalInternalExternalExternalExternalExternalInternalExternalExternal
Name TDS Section # Form No Type DescriptionSec. 194© 26C Tax Deduction at Source TDS - Advertisements - OthersSec. 194© 26C Tax Deduction at Source TDS - Advertisements - LimitedUNDER DTAA 27 Tax Deduction at Source TDS - RoyaltySec. 194© 26C Tax Deduction at Source TDS - Contractor Payments - OthersSec. 194© 26C Tax Deduction at Source TDS - Contractor Payments - LimitedSec. 194(H) 26I Tax Deduction at Source TDS - Sales CommissionSec. 194(J) 26K Tax Deduction at Source TDS - Professional Charges - OthersSec. 194(J) 26K Tax Deduction at Source TDS - Professional Charges - LimitedSec. 194(I) 26J Tax Deduction at Source TDS - Rent IndividualsSec. 194(A) 26A Tax Deduction at Source TDS - InterestSec. 194(I) 26J Tax Deduction at Source TDS - Rent CompaniesSec.194(H) 26I Tax Deduction at Source TDS - Sales Commission
TDS@1% - OthersTDS@1.025% - LimitedTDS@10% - RoyaltyTDS@2% - OthersTDS@2.05% - LimitedTDS@5.125% - Sales CommissionTDS@5% - Professional ChargesTDS@5.125% - Professional ChargesTDS@15% - Rent IndividualsTDS@20.5% - InterestTDS@20.5% - Rent CompaniesTDS@2.625 - Sales Commission
Account Vendor Name90.00.000.3214.000.00.00 INCOME TAX OFFICER90.00.000.3214.000.00.00 INCOME TAX OFFICER90.00.000.8170.000.00.00 INCOME TAX OFFICER90.00.000.3214.000.00.00 INCOME TAX OFFICER90.00.000.3214.000.00.00 INCOME TAX OFFICER90.00.000.3214.000.00.00 INCOME TAX OFFICER90.00.000.3214.000.00.00 INCOME TAX OFFICER90.00.000.3214.000.00.00 INCOME TAX OFFICER90.00.000.3214.000.00.00 INCOME TAX OFFICER90.00.000.3214.000.00.00 INCOME TAX OFFICER90.00.000.3214.000.00.00 INCOME TAX OFFICER90.00.000.3214.000.00.00 INCOME TAX OFFICER
Code Meaning DescriptionSec. 194(A) TDS Section 194(A)-IND TDS Section 194(A)Sec. 194(C) TDS Section 194(C)-IND TDS Section 194(C)Sec. 194(I) TDS Section 194(I)-IND TDS Section 194(I)Sec. 194(J) TDS Section 194(J)-IND TDS Section 194(J)Sec. 194 TDS Section 194-IND TDS Section 194Sec. 195 TDS Section 195-IND TDS Section 195Sec. 194(H) TDS Section 194(H)-IND TDS Section 194(H)EXEMPT Exempt ExemptUNDER DTAA Under DTAA Under DTAA
192 Salary193 Interest On Securities
FutureFutureFutureFutureFutureFutureFutureFutureFutureFuture
Code Meaning DescriptionForm A Form A-IND Form AForm B Form B-IND Form BForm C Form C-IND Form CForm D Form D-IND Form DFORM H Form H-IND Form HFORM 17 Form 17-IND Form 17FORM 26A Form 26A-IND Form 26AFORM 26C Form 26C-IND Form 26CFORM 26I Form 26I-IND Form 26IFORM 26J Form 26J-IND Form 26JFORM 26K Form 26K-IND Form 26KFORM 27 Form 27-IND Form 27
FutureFutureFutureFutureFutureFutureFutureFutureFutureFutureFORM 24FORM 25FORM 26
Code Meaning DescriptionLIMITED LIMITED LIMITEDOTHERS OTHERS OTHERS
Recommended