Supplier Payment and Customer Receipt Entry
Posted: Mon Feb 02, 2009 10:11 am
Dear All,
My Client is having Six Operating Units,
Each Operating Units are entering Supplier Invoices and Customer Invoices,
But the Head Office Operating Unit should decide on which Bank the supplier payment needs to be done and on which Bank the Receipt should get deposited.
So, Each Operating Unit will enter Invoice in their own Operating unit and How do they make Payment in which Bank Account, Consider that they are entering a Dummy Bank Account.
How the Head Office Operating Unit Users, will change the Dummy Bank to corresponding Banks. How to relate it with Head Office Operating Unit and Other Operating Unit Transactions.
Can anyone give Valuable Inputs on this Please?...
Regards
Bharani.
My Client is having Six Operating Units,
Each Operating Units are entering Supplier Invoices and Customer Invoices,
But the Head Office Operating Unit should decide on which Bank the supplier payment needs to be done and on which Bank the Receipt should get deposited.
So, Each Operating Unit will enter Invoice in their own Operating unit and How do they make Payment in which Bank Account, Consider that they are entering a Dummy Bank Account.
How the Head Office Operating Unit Users, will change the Dummy Bank to corresponding Banks. How to relate it with Head Office Operating Unit and Other Operating Unit Transactions.
Can anyone give Valuable Inputs on this Please?...
Regards
Bharani.