Scenario: Settle a partial vendor payment that has discounts on vendor credit notes
Important
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Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2, Microsoft Dynamics AX 2012 Feature Pack, Microsoft Dynamics AX 2012
Fabrikam’s vendors give cash discounts on credit notes. Vendor 3050 lets Fabrikam take a cash discount of 1 percent if an invoice is paid in 14 days.
On June 29, April creates an invoice for 1,000.00 for vendor 3050. On July 2, she creates a credit note for 200.00.
In the Vendors form, on the Action Pane, April clicks the Invoice tab, and then clicks Settle open transactions. She can use the Settle open transactions form to mark both the credit note and the invoice for settlement. A discount of 2.00 is calculated on the credit note. Therefore, the total value of the credit note is reduced to 198.00.
Mark |
Use cash discount |
Voucher |
Account |
Date |
Due date |
Invoice |
Amount in transaction currency |
Currency |
Amount to settle |
---|---|---|---|---|---|---|---|---|---|
Selected |
Normal |
Inv-10070 |
3050 |
6/29/2015 |
7/29/2015 |
10070 |
-1,000.00 |
USD |
-990.00 |
Selected and highlighted |
Normal |
CR-10070 |
3050 |
7/2/2015 |
7/29/2015 |
200.00 |
USD |
198.00 |
Discount information for the credit note is shown at the bottom of the Settle open transactions form.
Cash discount date |
7/13/2015 |
Cash discount amount |
2.00 |
Use cash discount |
Normal |
Cash discount taken |
0.00 |
Cash discount amount to take |
2.00 |
April clicks Update. She then reviews the completed settlement. April sees that 198.00 of the credit note was applied, and a discount of 2.00 was taken on the invoice. Therefore, the total is 200.00.
Mark |
Use cash discount |
Voucher |
Account |
Date |
Due date |
Invoice |
Amount in transaction currency |
Currency |
Amount to settle |
---|---|---|---|---|---|---|---|---|---|
Selected and highlighted |
Normal |
Inv-10070 |
3050 |
6/29/2015 |
7/29/2015 |
10070 |
-1,000.00 |
USD |
-200.00 |
Selected |
Normal |
CR-10070 |
3050 |
7/2/2015 |
7/29/2015 |
CR-10070 |
200.00 |
USD |
198.00 |
Discount information for the invoice is shown at the bottom of the Settle open transactions form.
Cash discount date |
7/13/2015 |
Cash discount amount |
-10.00 |
Use cash discount |
Normal |
Cash discount taken |
0.00 |
Cash discount amount to take |
-2.00 |
April can review the vendor transactions in the Vendor transactions form. (Click Accounts payable > Common > Vendors > All vendors. Select a vendor. On the Action Pane, click Transactions.) In this form, April sees that the invoice has a balance of -800.00. She also sees a credit note for 198.00 and a discount of 2.00.
Voucher |
Transaction type |
Date |
Invoice |
Amount in transaction currency debit |
Amount in transaction currency credit |
Balance |
Currency |
---|---|---|---|---|---|---|---|
Inv-10070 |
Invoice |
6/29/2015 |
10070 |
1,000.00 |
-800.00 |
USD |
|
Inv-10071 |
7/2/2015 |
CR10071 |
200.00 |
0.00 |
USD |
||
DISC-10071 |
7/2/2015 |
2.00 |
0.00 |
USD |
|||
DISC-10071 |
7/2/2015 |
2.00 |
0.00 |
USD |
See also
Scenario: Settle a vendor payment with an invoice
Scenario: Settle vendor payments by using payment proposals
Scenario: Settle a partial vendor payment that has multiple discount periods
Scenario: Take a discount that is more than the calculated discount for a vendor payment