The "Creditor remittance advise - Outstanding" will print only the outstanding transactions. Transactions linked in the Open item link feature, will not be listed.

Report options

To print Creditor remittance advises - Outstanding:

1.On the Reports ribbon, select Reports → Creditors → Outstanding. The "Creditor remittance advise" options will be displayed.

2.Select "Creditor remittance advise - Outstanding".

creditor-remittance-advice-outstanding-options

3.Enter or select the date of the ageing.

4.Enter the number of days to display for the periods.

5.Select the creditor (supplier / vendor) accounts to include in the Creditor remittance advises.

6.Click on the OK button.  

Printed example : Creditor remittance advise - Outstanding

An example of the "Creditor remittance advise - Outstanding", is as follows:

creditor-remittance-advice-outstanding-print

In this example, PU002 of 1725.00 is displayed as outstanding on the Creditor remittance advise - Outstanding, since the payment of 750.00 is linked to that purchase invoice. 

The balance of 975.00 is still outstanding on the Purchase invoice.

The information is as follows:

1.Header (Left) - Creditor Information as entered / edited on the creditor (supplier / vendor) account (Creditors (Action ribbon)).

2.Header (Right) - Company info as entered / edited on the Company info (Setup ribbon).

3.Remittance advise to - The date as entered (selected) on the parameters. The periods number of days specified on the parameters is displayed. The outstanding totals for each period is displayed as a summary for the periods at the end of the transaction section. 

4.Transactions - This displays the date, reference. description and amount for each transaction. The payment date for each transaction is the date of the transaction plus the number of days entered in the "Due days" field on the Accounting information tab of the creditor (supplier / vendor) account. 

5.Credit limit - The amount as entered in the "Credit limit" field on the Accounting information tab of the creditor (supplier / vendor) account. The Balance at is the current balance of the creditor (supplier / vendor) account of all posted transactions and documents as at the date of printing of the Remittance Advises. The Available amount is calculated the Credit limit minus the Balance at amount as at the date of printing of the Remittance Advises.

6.Remittance message - Up to three (3) lines as entered on the Delivery address tab of the creditor (supplier / vendor) account.

7.Due amount and Due date - The amount payable and the date on which the payment is due.