Set up centralized vendor payments
Important
This content is archived and is not being updated. For the latest documentation, see Microsoft Dynamics 365 product documentation. For the latest release plans, see Dynamics 365 and Microsoft Power Platform release plans.
Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2, Microsoft Dynamics AX 2012 Feature Pack, Microsoft Dynamics AX 2012
Use this procedure to prepare to process payments in one legal entity on behalf of other legal entities in your organization. For an overview of centralized vendor payment processing that includes examples, see About centralized vendor payments.
Before you begin, the following setup procedures must be complete:
Create legal entities
Set up General ledger parameters
Set up Accounts payable parameters
Set up intercompany accounting
Set up an organizational hierarchy for centralized payments
You must set up an organizational hierarchy for centralized payments. The same organizational hierarchy is used to process centralized vendor payments and centralized customer payments.
Note
The structure of the hierarchy does not matter for centralized payments. Any legal entity will be able to process payments on behalf of any other legal entity in the hierarchy.
Click Organization administration > Setup > Organization > Organization hierarchies.
Click New.
Enter a name for the organizational hierarchy, such as Centralized payments.
On the Purposes FastTab, click Assign purpose.
In the Organization hierarchy purposes form, in the Purposes column, select Centralized payments and then click Add.
In the form that appears, select the organizational hierarchy that you are working with, and then click OK. Close the Organization hierarchy purposes form.
In the Organization hierarchies form, click View. In the form that appears, click Edit.
Click Insert and select Legal entity. In the form that appears, select a legal entity and then click OK.
Repeat this step for the other legal entities to include in this organizational hierarchy.
When you are finished making changes, save the hierarchy. To save a draft, click Save as draft. Your changes will be saved, but the hierarchy will not be in active use. To use the hierarchy immediately, click Publish and close.
Set up intercompany accounting for centralized payments
When payment transactions in the current legal entity are settled with invoices in other legal entities, the appropriate due-to and due-from transactions are created for each legal entity. You must specify the legal entity where any applicable cash discount amounts and any realized gain or loss amounts are posted. For more information, see About cross-company payment settlements. Before you begin, decide which legal entity you will use to process vendor payments. Switch to that legal entity.
Click General ledger > Setup > Posting > Intercompany accounting.
Select an intercompany relationship record for a legal entity that you will process payments on behalf of.
Click the Centralized payments FastTab.
In the Centralized vendor payments field group, select whether to post cash discounts to the legal entity of the payment (or other transaction that decreases the balance of the vendor account), or to the legal entity of the invoice (or other transaction that increases the balance of the vendor account).
This selection works together with the Cash discount administration field in the Accounts payable parameters form. For overpayments and penny difference tolerances, the setting in the legal entity of the payment is used. For underpayments and penny difference tolerances, the setting in the legal entity of the invoice is used. For more information, see About cross-company payment settlements.
Select whether to post currency exchange gain or loss amounts to the legal entity of the payment or to the legal entity of the invoice.
Repeat steps 2 through 5 for the remaining intercompany relationships. You must set up intercompany posting information for each combination of intercompany relationships that you will use.
Map vendor accounts across legal entities
If you pay a vendor from one legal entity and you want to select invoices for that vendor in other legal entities, you must make sure that the corresponding vendor accounts in each legal entity all use the same address book ID.
Set up currency codes for centralized payments
When you create a payment in one legal entity that settles invoices in other legal entities, the currency codes for the transactions are compared. If the currency codes in both legal entities are the same, they are recognized as the same currency. If the currency codes differ, currency exchange rate calculations are performed. To make sure that payments are created correctly, set up a currency code in each invoice legal entity that corresponds to the accounting currency of the legal entity of the payment. For example, if the accounting currency of the legal entity of the payment is USD, you must set up a USD currency code in each invoice legal entity. You can see the accounting currency for the legal entity of the payment in the Ledger form.
Before you begin, make a list of all the invoice legal entities that you will use with the selected legal entity of the payment. Switch to the first legal entity of the invoice and then follow these steps.
Click General ledger > Setup > Currency > Currencies.
If a currency code that corresponds to the accounting currency code of the legal entity of the payment already exists, go to step 4. Otherwise, click New and create a currency.
Click General ledger > Setup > Currency > Currency exchange rates.
Set up exchange rate information for the new currency. This information is used for exchange rate calculations when cross-company payments are settled, if the payment currency and the invoice currency differ. For more information, see Currency exchange rates (form).
Switch to the next legal entity of the invoice and repeat steps 1 through 4.
If you selected to post cash discount amounts to the legal entity of the payment in the Intercompany accounting form, you must also set up currency codes in the legal entity of the payment that correspond to all the accounting currency codes in each invoice legal entity. Switch to the legal entity of the payment, and then follow these steps.
Click General ledger > Setup > Currency > Currencies.
Press CTRL+P to print a list of currency codes that have been defined for the legal entity of the payment.
Switch to each legal entity of the invoice and print a list of currency codes for each.
If any currency codes are missing from the legal entity of the payment, switch back to the legal entity of the payment and add them.
Set up posting profiles for centralized payments
When you create a payment in one legal entity that settles invoices in other legal entities, the posting profile IDs must be the same in both legal entities. To make sure that payments are created correctly, set up a posting profile in each invoice legal entity that corresponds to the posting profiles that are used in the legal entity of the payment. Switch to the first legal entity of the invoice and then follow these steps.
Click Accounts payable > Setup > Vendor posting profiles.
If a posting profile that corresponds to one of the posting profiles used in the legal entity of the payment already exists, go to step 4. Otherwise, click New to create a posting profile.
Set up the posting profile. The selections you make for the posting profile in the legal entity of the invoice do not have to match the way that the posting profile is set up in the legal entity of the payment.
Repeat steps 1 through 3 for the remaining posting profiles.
Switch to the next legal entity of the invoice and repeat steps 1 through 4.
Set up methods of payment for centralized payments
When you create a payment in one legal entity that settles invoices in other legal entities, the method of payment IDs must be the same in both legal entities. To make sure that payments are created correctly, set up a method of payment in each invoice legal entity that corresponds to the methods of payment that are used in the legal entity of the payment. Switch to the first legal entity of the invoice and then follow these steps.
Click Accounts payable > Setup > Payment > Methods of payment.
If a payment method that corresponds to one of the payment methods used in the legal entity of the payment already exists, go to step 4. Otherwise, click New to create a method of payment.
Set up the method of payment. The selections you make for the method of payment in the legal entity of the invoice do not have to match the way that the method of payment is set up in the legal entity of the payment.
Repeat steps 1 through 3 for the remaining methods of payment.
Switch to the next legal entity of the invoice and repeat steps 1 through 4.
Set up default descriptions
You can define default descriptions for intercompany settlement vouchers. The default description is included on the due-to and due-from transactions during the cross-company settlement process.
Click Organization administration > Setup > Default descriptions.
Click New to create a description.
In the Description column, select Intercompany customer settlement, select a language, and enter text.
Click New.
Select Intercompany vendor settlement, select a language, and enter text.
See also
About cross-company payment settlements
Scenario: Single-company and cross-company payment settlements