Note
This routine was adjusted to comply with the General Personal Data Protection Law (Statute No. 13.70), so that some fields containing data regarded as sensitive and/or personal are blurred, becoming illegible.
This routine releases bills for manual or automatic postings in Accounts Payable.
Once you configure the system to release payments, all bills the system generates must go through this evaluation for payment releases, regardless of where they were generated.
For example, a bill generated by the invoicing routine, with bills already released, is also born blocked for evaluation.
To use this routine, you must configure the following parameters:
Fill it out with the content T. When you activate this parameter, you can only post bills after running this routine.
Enter the minimum value for release. Bills presenting values lower than the one entered will be automatically released.
This determines which Financials Date will be used for validation when Releasing Bills Payable, 1 = Accounting (Typing) Date, 2 = Issue Date.
This indicates the approver code for bills of a specific currency, for authorization control.
Example:
MV_FINAP01, the approver code is entered for bills of currency 01.
MV_FINAP02, the approver code is entered for bills of currency 02.
You can release payments in two different ways:
Manual release is performed bill per bill, where the system displays its data on the screen.
To release payments manually:
Note
Use the Automatic Release feature to select multiple bills, filtering them by supplier, bearer, due date, values, and bill type.
To release an automatic payment:
Warning
Note
Cancel
Canceling the payment release will change the bill to status In Approval
To cancel a payment release:
Use this option to change the status of a bill payable to suspended or canceled, provided the bill has not undergone any type of financial transaction.
Thus, you can give the bill one of the following statuses:
The data of users responsible for status changes and the dates when those changes took place are stored in the bill payable record in table SE2 - Accounts Payable.
In Manual Posting Payable and in batch posting, you can only post canceled bills if the reason for posting lacks financial transactions.
The Automatic Posting Payable does not allow selecting canceled bills for posting if the reason has financial transactions.
To change the status of a bill payable:
The bill caption changes and Accounts Payable processes start using the new status.
Note
If the authorization control is activated (MV_FINCTAL = 2), the bill status cannot be changed.
Bills are released with authorization control in accordance with the hierarchy of approvers and superiors through available authorization balance.
The approver responsible for releasing bills to be posted is defined by the Approv. Code field (E2_CODAPRO) in the Accounts Payable routine (FINA050).
Warning
Rules for releasing bills with authorization control:
Note
Before releasing bills, you need to:
Note
The bills release routine has two bill release methods, in accordance with the content of parameter MV_FINCTAL.
If parameter MV_FINCTAL is set to 1 - Simple release,the operations of search, manual release, automatic release, cancellation, and caption are kept.
The System records, in the accounts payable table, the release date and the name of the user responsible for the release.
If set to 2 - Authorization, the operations of search, view, balance query, bill release, cancellation, superior release, transfer to superior, and temporary absence are redefined.
In this case, Bills Payable Release behaves differently, because the system will submit bills to authorization evaluation for manager approval based on the available balance respecting the Fixed Fund concept.
Note
This releases the bill for posting when the user who posts is the approver.
To release bills:
This option releases the bill for posting when the user who posts is superior to the original approver.
To release the bill:
This transfers a transaction from the original approver to a superior manager.
To transfer to the superior manager:
This transfers several bills from the bill approver (E2_CODAPRO) to the superior manager in case of absence.
To transfer bills by absence. the superior user must access the routine:
This option unblocks the bill blocked for transfer.
To unblock the bill:
The payment release reversal will bring the bill to status bill awaiting release.
To revert a payment release:
Note
Parameter |
Description |
Default |
---|---|---|
MV_CTLIPAG |
This tracks postings payable through the release date entered. If set to T, the system checks whether field E2_DATALIB is filled out; otherwise, it does not track them. |
F |
MV_FINCTAL |
Option for transaction release based on the simple or authorization control release format. Ex: 1=Simple Release or 2=Authorization control |
1 |
MV_VLMINPG |
The minimum value to post the bill, even if field E2_DATALIB is not filled out, and the content of parameter MV_CTLIPAG is T. |
0 |
MV_F580DT |
This determines which Financials Date will be used for validation when Releasing Bills Payable. 1=Accounting Date (Typing), 2 = Issue Date |
1 |
MV_BLQPAPC |
This blocks PA bills generated by PC with authorization control, unblocking the bill when the PC is release. (T=Yes; F=No) |
|
MV_FINAPXX |
Generic approver's code for bills in currency XX. Where XX represents the currency code. |
Entry point | Note |
---|---|
F580BROW | This displays data on the browse. |
FA580LIB | Manual release blockage. |
FINA580 | Complementary storage on SE2. |
FINA580A | SE2 storage on manual release. |
F580VLDPA | User validation on canceling the release of PA-type bills. |
F580CAN | User validation on release cancellation |
F580CHAV | Change indexes |
F580MNBR | Enable fields |
F580AUTVL | Change in the value of bills payable |
F580FAUT | Enter filter |
F580LEGEN | Caption change |
F580EDLEG | Caption manipulation in the release for posting routine |
F580ADDB | Adding buttons to the menu |
F580LbA | Block automatic release |