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Setup, Transaction Processing and FAQ’s
on AP/AR Netting Release 12




White Paper on AP/AR Netting        Page 1
Table of Contents
Implementing AP/AR Netting: ...................................................................................................................... 4
   Setups Required for AP/AR Netting: ......................................................................................................... 4
      Define Netting Control account: ........................................................................................................... 4
      Defining Bank ........................................................................................................................................ 5
      Defining Bank Branch ............................................................................................................................ 6
      Defining Bank Accounts: ....................................................................................................................... 7
      Define a Netting Receipt Class: ........................................................................................................... 10
      Define Receivables System Options:................................................................................................... 11
   Transactions to be performed to Process AP/AR Netting: ..................................................................... 12
      Create a netting agreement: ............................................................................................................... 12
      Trading Partner Priorities: ................................................................................................................... 13
      Enter payables invoice: ....................................................................................................................... 16
      Enter receivables transactions: ........................................................................................................... 17
      Create Netting Batch:.......................................................................................................................... 18
      Output of the “Final Netting Report” ................................................................................................. 22
      Verify receivable payment .................................................................................................................. 22
      Verify payables payment .................................................................................................................... 23
      Reversing the Netting Batch: .............................................................................................................. 23
      Steps to “Reverse” the netting batch: ................................................................................................ 23
      Netting Batch Statuses: ....................................................................................................................... 25
   Standard Reports – AP/AR Netting: ........................................................................................................ 26
      Proposed Netting Report: ................................................................................................................... 26
      Final Netting Report: ........................................................................................................................... 26
   FAQs on AP/AR Netting:.......................................................................................................................... 26




White Paper on AP/AR Netting                                                                                                                     Page 2
R12: Setting up for AP/AR Netting

What is AP/AR Netting?

AP AR Netting Feature enables the automatic netting of Payable and Receivable transactions
within a business enterprise. The netting process automatically creates the Payables payments
and Receivables receipts required to clear a selected number of Payables and Receivables
transactions.

Example:
Let’s say organization A deals in trading some items. Organization B provides consultancy
services. In the current example organization A sold goods to organization B for a $ 100000 on
credit and subsequently utilized organization B’s services to the extent of 60000 dollars. Now
Organization A is supplier to organization B to the extent of $ 100000 and is a Customer of
Organization B to the extent of $ 60000. Now instead of paying a $ 100000 and getting back $
60000 from the same person, Organization A can net-off to the extent of $ 60000 and only
settle the balance $ 40000(receive)

Now this process of settling the transaction is called as AP/AR Netting in Release 12.

One may access this feature from either payables or receivables module.




White Paper on AP/AR Netting                                                             Page 3
Implementing AP/AR Netting:
      Setups required for AP/AR Netting
      Transactions to be performed to execute AP/AR Netting
      Standard Reports relating to AP/AR Netting
      FAQs relating to AP/AR Netting

Setups Required for AP/AR Netting:
      Netting Control Account (General Ledger)
      Netting Bank/Branch/Bank Account (Cash Management)
      AP/AR Netting Receipt Class (Accounts Receivable)
      System Options (Accounts Receivable)
      Netting Agreement(Accounts Payable or Accounts Receivable)


Define Netting Control account:
We need to define netting control account to use it as cash account while defining netting bank
account in cash management. We don’t use the regular cash account because we are neither
paying nor receiving the actual cash in reality. Only the balance amount would be settled in real
cash. Netting control account is defined in General Ledger module.

(N): Setup > Financials > Flexfields > Key > Values




Define Netting Bank and Branch:

White Paper on AP/AR Netting                                                             Page 4
Define a netting bank account in Cash management/Payables/Receivables to be used to settle
the AP Invoices and AR Transactions that needs to be netted off.

(N): Cash Management > Setup > Banks > Banks
(N): Payables > Setup > Payment > Banks and Bank Branches
(N): Receivables > Setup > Receipts > Banks




Defining Bank




White Paper on AP/AR Netting                                                        Page 5
Defining Bank Branch




White Paper on AP/AR Netting   Page 6
Defining Bank Accounts:
(N): Cash Management > Setup > Banks > Bank Accounts
(N): Payables > Setup > Payments > Bank Accounts
(N): Receivables >Setup > Receipts > Bank Accounts




Specify the bank account owner (Legal entity) and the sources which would be eligible to use
this bank account. Please note that unless the access is given to cash management in User
Management responsibility, the legal entity could not be selected here while defining the bank
account.
White Paper on AP/AR Netting                                                           Page 7
Specify the details of the bank account also mention if this bank would be able to do
transactions in multi currencies by checking the check box multiple currencies allowed.




Give the netting control account defined earlier as the cash account while defining account
controls. It is important to choose yes from the list of values for the option Netting Account.
When we choose yes the system would understand that this particular bank would be used for
performing AP AR netting transactions.




White Paper on AP/AR Netting                                                              Page 8
Specify the operating units that would be using this bank account as well in each operating unit
which source would be using this bank account.




Specify a contact for this bank account and complete the creation of bank account.




White Paper on AP/AR Netting                                                             Page 9
Define a Netting Receipt Class:
Defining a netting receipt class would allow the system to create a receipt for a netted AR
transaction which is now recorded as received but where in no cash has actually been received
or paid. While defining the netting receipt class specify the bank account defined in the earlier
step.

(N): Setup>Receipts>Receipt Classes




White Paper on AP/AR Netting                                                              Page 10
Define Receivables System Options:

(N): Setup > System > System Options
We need to enable the check box, “Allow Payment of Unrelated Transactions” as we are trying
to net off unrelated transactions in payables and receivables module.




White Paper on AP/AR Netting                                                         Page 11
Transactions to be performed to Process AP/AR Netting:
    Create a netting agreement
    Enter payable invoices
    Enter receivable transactions
    Create and submit a netting batch
    Once the requests get completed view the
        - Proposed Netting Report
        - Final Netting Report
    Verify payables payments
    Verify receivables receipts


Create a netting agreement:
A netting agreement controls how a group of trading partners net Payables and Receivables
transactions. You can create a netting agreement for each group of trading partners that agrees
to net transactions. Netting agreements include the business rules that define the types of
transactions that may be selected for netting, and which suppliers and customers can be
netted.

Navigation to create a netting agreement:
(N): Receivables > Receipts > Netting > Netting Agreement
(N): Payables > Payments > Entry > Netting > Netting Agreement

Click on “Create Agreement”
     Specify to which operating unit does this netting agreement relates.




White Paper on AP/AR Netting                                                           Page 12
 One can enter any desired trading partner reference and if trading partner approval is
     required then check the check box “Trading Partner Approval Required” Once this is
     checked the system would ask us to input trading partner name and the response action
     if the approver has not responded within specific time.

    Specify the netting bank account that you have defined earlier.
    Choose “yes” if you want the system to select only past due receivable transactions
    Choose one of the netting order rules:




    Choose the required Netting balance rule




    Choose the required Netting Currency Rule




    Enter the Payable invoice types and Receivable transaction types:
    In the example taken here we are trying to create the netting between 2 trading
     partners:
          Advanced Network Devices(Supplier)
          A. C. Networks (Customer)
     Between the invoice types “Invoice” and “Standard” types respectively.

       We can specify the sites among which the netting takes place and also we can also
       specify multiple suppliers or multiple customers in one netting agreement, the priority
       for netting would be determined as below:


Trading Partner Priorities:
The priority value determines the order in netting transactions the customer transaction with
the highest rank is netted first.
If all customers have a priority of 1, then there is no priority for selecting transactions and they
are ordered based on the Netting Order rule.




White Paper on AP/AR Netting                                                                 Page 13
 Enter the trading partner names that you want to perform netting




White Paper on AP/AR Netting                                            Page 14
 Review the information entered till now and complete the creation of the agreement:




Now we are ready to perform the AP AR netting process, before we create a netting batch lets
create AP Invoices and AR transactions that can be picked by the netting batch. While creating
netting batch we specify the netting agreement name. So only those transactions with the type
specified in the netting agreement and which relate to the customer or supplier as mentioned
while defining netting agreement would be picked by the netting batch when submitted for
processing.




White Paper on AP/AR Netting                                                           Page 15
Enter payables invoice:
       Create supplier Invoices against Advanced Networks supplier. Here we are creating a
       supplier invoice for the trading partner “Advanced Network Devices.” The invoice
       number is “17-APR-2010”




White Paper on AP/AR Netting                                                          Page 16
Enter receivables transactions:
Create AR transactions against the customer A. C. Networks




White Paper on AP/AR Netting                                 Page 17
 To run the netting process create a netting batch:
     (N): Receivables > Receipts > Netting > Netting Batch
     (N): Payables > Payments > Netting > Netting Batch


Create Netting Batch:
    Once the Oracle Netting webpage opens, click on “Create Batch”

    Specify
         Netting Agreement name defined earlier
         Settlement date batch name
         Transaction date
         GL date
         Exchange rate type for other currency netting transactions
      and Submit the batch, the request “Create Netting Batch” request gets submitted once
     you click on submit the batch.




White Paper on AP/AR Netting                                                       Page 18
 After the request gets completed go back Netting Batch Webpage and query the netting
     batch created: Query for “demo_APARN” the batch status is “Selected.” Click on
     “Update” and this would pick all the AP and AR invoices which match the criteria
     specified in netting agreement and netting batch




White Paper on AP/AR Netting                                                      Page 19
After reviewing the transactions and optionally if trading partner approval is required after
getting it, resubmit the batch and two requests would run”
     Submit netting batch
     Settle netting batch

The status would change from “selected” to “clearing”




White Paper on AP/AR Netting                                                              Page 20
Once the request “Settle netting batch” is completed with normal status the status of the batch
would be complete. Now we would be able to view the final netting report. To view the final
netting report click on the view report icon.




                                                                       Click Here




Click on run after specifying the template, language and Format, this would submit a concurrent
request “Final Netting Report” whose output would look like the attached object below.

White Paper on AP/AR Netting                                                           Page 21
Output of the “Final Netting Report”



       final netting
        report.htm


   -       The netting process automatically creates the Payables payments and Receivables
           receipts required to clear a selected number of Payables and Receivables transactions.
   -       The Payables and Receivables transactions are selected and locked. No updates are
           allowed to these transactions while netting is in process.
   -       Note: Receivables transactions cannot be locked during this step if trading partner
           approval is required or it is set to yes. These transactions can only be locked after
           receiving the trading partner's approval.


Verify receivable payment
Receipt that got created against the netted invoices:




White Paper on AP/AR Netting                                                               Page 22
Verify payables payment
Payments that got created against the payable invoices which got netted:




Reversing the Netting Batch:

   -   Netting batch which is with the status “Complete” can be reversed. On reversing the
       netting batch it would return to the state it was in before the netting payment or the
       receipt was created for the batch. Only the netting batches with a status of Complete
       can be reversed.


Steps to “Reverse” the netting batch:
   -   Go to Oracle Netting Batch page from either payables or receivables
   -   Query the batch that needs to be reversed
   -   Click on the reverse icon
   -   The system would pop up a warning to confirm the reversal
   -   On confirming a concurrent request with name “Reverse Netting Batch” would get
       submitted.
   -   The batch status would go from “reversing” to “reversed”
   -   And the payments and receipts gets reversed as well and the AP and AR invoices would
       be available for payment and collection respectively.

White Paper on AP/AR Netting                                                            Page 23
White Paper on AP/AR Netting   Page 24
Netting Batch Statuses:
Netting Batch Status           Event

RUNNING                        User creates the netting batch

SELECTED                       “Review Batch” Option is set to Yes

SUBMITTED                      “Review Batch” option is set to “No” and
                               approval is required
SUSPENDED                      Current date has gone past batch settlement
                               date
REJECTED                       User rejects batch requiring approval

CLEARING                       “Review Batch” options is set to “No” but no
                               approval is required
COMPLETE                       Netting Process completed for transactions

ERROR                          Error encountered while validating, selecting
                               transactions


White Paper on AP/AR Netting                                          Page 25
APPROVED                                             User approves batch reqioring approval

REVERSING                                            User chooses to reverse the batch which is in
                                                     complete status
REVERSED                                             Completed batch is now reversed



Standard Reports – AP/AR Netting:
Proposed Netting Report:
      The Proposed Netting Report contains the transactions selected for netting and it is created
      during the Create Netting Batch process. You can view this report when the netting batch status
      is Selected, Submitted, Approved, Suspended, Rejected, or Cancelled. This report is also sent to
      the trading partner if the Trading Partner Approval required check box is selected when creating
      the netting agreement.

Final Netting Report:
       The Final Netting Report is created at the end of the netting process after the transactions have
       cleared. You can only view this report when the netting batch status is Completed. This report
       shows the final netting details, such as the values for Payment, Receipt Number, and Netted
       Amount.

FAQs on AP/AR Netting:
    1) Can netting be done across operating units?
    - One cannot net transactions pertaining to separate operating units as we mention the
       operating unit while defining the netting agreement.

    2) What if I want to net the transactions in currencies other than functional currency?
       - I can perform netting between same currency transactions.

    3) Can you update the netted receipts in the receipts work bench?
       - No, Netted receipts cannot be update once the netting process is complete

    4) Any profile options relating to AP/AR Netting??
       - Not in general but for Japan installations JMF: Enable Chargeable Subcontracting
          profile option.

    5) Any approvals for netting batch from trading partner required
       - Trading Partner Approval Required - If you want to require approval by the trading
          partner, check the check box. Checking the check box displays the required Approver
          Name list of values and the No Response Action dropdown list.


    6) Do AP/AR transactions get locked while Netting is in process?

White Paper on AP/AR Netting                                                                    Page 26
-   Yes, the Payables and Receivables transactions are selected and locked. No updates
           are allowed to these transactions while netting is in process.
       -    Note: Receivables transactions cannot be locked during this step if trading partner
           approval is required or it is set to yes. These transactions can only be locked after
           receiving the trading partner's approval.

   7) Can different suppliers and customers be selected for netting purposs?
      - Yes this can be achieved

   8) Payables invoice types that can be chosen for netting?
      - Standard
      - Credit Memo
      - Debit Memo
      - Mixed

   9) Receivables invoice types that can be chosen for netting?
      - Invoice
      - Credit Memo
      - Debit Memo
      - Chargeback




White Paper on AP/AR Netting                                                             Page 27
AP/AR Netting in Release 12 (R12)
Setup, Transaction Processing and FAQ’s on AP/AR Netting Release 12
April 2010
Author: Shilpa Koganti




White Paper on AP/AR Netting                                          Page 28

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39645056 white-paper-on-r12-ap-ar-netting-1

  • 1. Setup, Transaction Processing and FAQ’s on AP/AR Netting Release 12 White Paper on AP/AR Netting Page 1
  • 2. Table of Contents Implementing AP/AR Netting: ...................................................................................................................... 4 Setups Required for AP/AR Netting: ......................................................................................................... 4 Define Netting Control account: ........................................................................................................... 4 Defining Bank ........................................................................................................................................ 5 Defining Bank Branch ............................................................................................................................ 6 Defining Bank Accounts: ....................................................................................................................... 7 Define a Netting Receipt Class: ........................................................................................................... 10 Define Receivables System Options:................................................................................................... 11 Transactions to be performed to Process AP/AR Netting: ..................................................................... 12 Create a netting agreement: ............................................................................................................... 12 Trading Partner Priorities: ................................................................................................................... 13 Enter payables invoice: ....................................................................................................................... 16 Enter receivables transactions: ........................................................................................................... 17 Create Netting Batch:.......................................................................................................................... 18 Output of the “Final Netting Report” ................................................................................................. 22 Verify receivable payment .................................................................................................................. 22 Verify payables payment .................................................................................................................... 23 Reversing the Netting Batch: .............................................................................................................. 23 Steps to “Reverse” the netting batch: ................................................................................................ 23 Netting Batch Statuses: ....................................................................................................................... 25 Standard Reports – AP/AR Netting: ........................................................................................................ 26 Proposed Netting Report: ................................................................................................................... 26 Final Netting Report: ........................................................................................................................... 26 FAQs on AP/AR Netting:.......................................................................................................................... 26 White Paper on AP/AR Netting Page 2
  • 3. R12: Setting up for AP/AR Netting What is AP/AR Netting? AP AR Netting Feature enables the automatic netting of Payable and Receivable transactions within a business enterprise. The netting process automatically creates the Payables payments and Receivables receipts required to clear a selected number of Payables and Receivables transactions. Example: Let’s say organization A deals in trading some items. Organization B provides consultancy services. In the current example organization A sold goods to organization B for a $ 100000 on credit and subsequently utilized organization B’s services to the extent of 60000 dollars. Now Organization A is supplier to organization B to the extent of $ 100000 and is a Customer of Organization B to the extent of $ 60000. Now instead of paying a $ 100000 and getting back $ 60000 from the same person, Organization A can net-off to the extent of $ 60000 and only settle the balance $ 40000(receive) Now this process of settling the transaction is called as AP/AR Netting in Release 12. One may access this feature from either payables or receivables module. White Paper on AP/AR Netting Page 3
  • 4. Implementing AP/AR Netting:  Setups required for AP/AR Netting  Transactions to be performed to execute AP/AR Netting  Standard Reports relating to AP/AR Netting  FAQs relating to AP/AR Netting Setups Required for AP/AR Netting:  Netting Control Account (General Ledger)  Netting Bank/Branch/Bank Account (Cash Management)  AP/AR Netting Receipt Class (Accounts Receivable)  System Options (Accounts Receivable)  Netting Agreement(Accounts Payable or Accounts Receivable) Define Netting Control account: We need to define netting control account to use it as cash account while defining netting bank account in cash management. We don’t use the regular cash account because we are neither paying nor receiving the actual cash in reality. Only the balance amount would be settled in real cash. Netting control account is defined in General Ledger module. (N): Setup > Financials > Flexfields > Key > Values Define Netting Bank and Branch: White Paper on AP/AR Netting Page 4
  • 5. Define a netting bank account in Cash management/Payables/Receivables to be used to settle the AP Invoices and AR Transactions that needs to be netted off. (N): Cash Management > Setup > Banks > Banks (N): Payables > Setup > Payment > Banks and Bank Branches (N): Receivables > Setup > Receipts > Banks Defining Bank White Paper on AP/AR Netting Page 5
  • 6. Defining Bank Branch White Paper on AP/AR Netting Page 6
  • 7. Defining Bank Accounts: (N): Cash Management > Setup > Banks > Bank Accounts (N): Payables > Setup > Payments > Bank Accounts (N): Receivables >Setup > Receipts > Bank Accounts Specify the bank account owner (Legal entity) and the sources which would be eligible to use this bank account. Please note that unless the access is given to cash management in User Management responsibility, the legal entity could not be selected here while defining the bank account. White Paper on AP/AR Netting Page 7
  • 8. Specify the details of the bank account also mention if this bank would be able to do transactions in multi currencies by checking the check box multiple currencies allowed. Give the netting control account defined earlier as the cash account while defining account controls. It is important to choose yes from the list of values for the option Netting Account. When we choose yes the system would understand that this particular bank would be used for performing AP AR netting transactions. White Paper on AP/AR Netting Page 8
  • 9. Specify the operating units that would be using this bank account as well in each operating unit which source would be using this bank account. Specify a contact for this bank account and complete the creation of bank account. White Paper on AP/AR Netting Page 9
  • 10. Define a Netting Receipt Class: Defining a netting receipt class would allow the system to create a receipt for a netted AR transaction which is now recorded as received but where in no cash has actually been received or paid. While defining the netting receipt class specify the bank account defined in the earlier step. (N): Setup>Receipts>Receipt Classes White Paper on AP/AR Netting Page 10
  • 11. Define Receivables System Options: (N): Setup > System > System Options We need to enable the check box, “Allow Payment of Unrelated Transactions” as we are trying to net off unrelated transactions in payables and receivables module. White Paper on AP/AR Netting Page 11
  • 12. Transactions to be performed to Process AP/AR Netting:  Create a netting agreement  Enter payable invoices  Enter receivable transactions  Create and submit a netting batch  Once the requests get completed view the - Proposed Netting Report - Final Netting Report  Verify payables payments  Verify receivables receipts Create a netting agreement: A netting agreement controls how a group of trading partners net Payables and Receivables transactions. You can create a netting agreement for each group of trading partners that agrees to net transactions. Netting agreements include the business rules that define the types of transactions that may be selected for netting, and which suppliers and customers can be netted. Navigation to create a netting agreement: (N): Receivables > Receipts > Netting > Netting Agreement (N): Payables > Payments > Entry > Netting > Netting Agreement Click on “Create Agreement”  Specify to which operating unit does this netting agreement relates. White Paper on AP/AR Netting Page 12
  • 13.  One can enter any desired trading partner reference and if trading partner approval is required then check the check box “Trading Partner Approval Required” Once this is checked the system would ask us to input trading partner name and the response action if the approver has not responded within specific time.  Specify the netting bank account that you have defined earlier.  Choose “yes” if you want the system to select only past due receivable transactions  Choose one of the netting order rules:  Choose the required Netting balance rule  Choose the required Netting Currency Rule  Enter the Payable invoice types and Receivable transaction types:  In the example taken here we are trying to create the netting between 2 trading partners:  Advanced Network Devices(Supplier)  A. C. Networks (Customer) Between the invoice types “Invoice” and “Standard” types respectively. We can specify the sites among which the netting takes place and also we can also specify multiple suppliers or multiple customers in one netting agreement, the priority for netting would be determined as below: Trading Partner Priorities: The priority value determines the order in netting transactions the customer transaction with the highest rank is netted first. If all customers have a priority of 1, then there is no priority for selecting transactions and they are ordered based on the Netting Order rule. White Paper on AP/AR Netting Page 13
  • 14.  Enter the trading partner names that you want to perform netting White Paper on AP/AR Netting Page 14
  • 15.  Review the information entered till now and complete the creation of the agreement: Now we are ready to perform the AP AR netting process, before we create a netting batch lets create AP Invoices and AR transactions that can be picked by the netting batch. While creating netting batch we specify the netting agreement name. So only those transactions with the type specified in the netting agreement and which relate to the customer or supplier as mentioned while defining netting agreement would be picked by the netting batch when submitted for processing. White Paper on AP/AR Netting Page 15
  • 16. Enter payables invoice: Create supplier Invoices against Advanced Networks supplier. Here we are creating a supplier invoice for the trading partner “Advanced Network Devices.” The invoice number is “17-APR-2010” White Paper on AP/AR Netting Page 16
  • 17. Enter receivables transactions: Create AR transactions against the customer A. C. Networks White Paper on AP/AR Netting Page 17
  • 18.  To run the netting process create a netting batch: (N): Receivables > Receipts > Netting > Netting Batch (N): Payables > Payments > Netting > Netting Batch Create Netting Batch:  Once the Oracle Netting webpage opens, click on “Create Batch”  Specify  Netting Agreement name defined earlier  Settlement date batch name  Transaction date  GL date  Exchange rate type for other currency netting transactions and Submit the batch, the request “Create Netting Batch” request gets submitted once you click on submit the batch. White Paper on AP/AR Netting Page 18
  • 19.  After the request gets completed go back Netting Batch Webpage and query the netting batch created: Query for “demo_APARN” the batch status is “Selected.” Click on “Update” and this would pick all the AP and AR invoices which match the criteria specified in netting agreement and netting batch White Paper on AP/AR Netting Page 19
  • 20. After reviewing the transactions and optionally if trading partner approval is required after getting it, resubmit the batch and two requests would run”  Submit netting batch  Settle netting batch The status would change from “selected” to “clearing” White Paper on AP/AR Netting Page 20
  • 21. Once the request “Settle netting batch” is completed with normal status the status of the batch would be complete. Now we would be able to view the final netting report. To view the final netting report click on the view report icon. Click Here Click on run after specifying the template, language and Format, this would submit a concurrent request “Final Netting Report” whose output would look like the attached object below. White Paper on AP/AR Netting Page 21
  • 22. Output of the “Final Netting Report” final netting report.htm - The netting process automatically creates the Payables payments and Receivables receipts required to clear a selected number of Payables and Receivables transactions. - The Payables and Receivables transactions are selected and locked. No updates are allowed to these transactions while netting is in process. - Note: Receivables transactions cannot be locked during this step if trading partner approval is required or it is set to yes. These transactions can only be locked after receiving the trading partner's approval. Verify receivable payment Receipt that got created against the netted invoices: White Paper on AP/AR Netting Page 22
  • 23. Verify payables payment Payments that got created against the payable invoices which got netted: Reversing the Netting Batch: - Netting batch which is with the status “Complete” can be reversed. On reversing the netting batch it would return to the state it was in before the netting payment or the receipt was created for the batch. Only the netting batches with a status of Complete can be reversed. Steps to “Reverse” the netting batch: - Go to Oracle Netting Batch page from either payables or receivables - Query the batch that needs to be reversed - Click on the reverse icon - The system would pop up a warning to confirm the reversal - On confirming a concurrent request with name “Reverse Netting Batch” would get submitted. - The batch status would go from “reversing” to “reversed” - And the payments and receipts gets reversed as well and the AP and AR invoices would be available for payment and collection respectively. White Paper on AP/AR Netting Page 23
  • 24. White Paper on AP/AR Netting Page 24
  • 25. Netting Batch Statuses: Netting Batch Status Event RUNNING User creates the netting batch SELECTED “Review Batch” Option is set to Yes SUBMITTED “Review Batch” option is set to “No” and approval is required SUSPENDED Current date has gone past batch settlement date REJECTED User rejects batch requiring approval CLEARING “Review Batch” options is set to “No” but no approval is required COMPLETE Netting Process completed for transactions ERROR Error encountered while validating, selecting transactions White Paper on AP/AR Netting Page 25
  • 26. APPROVED User approves batch reqioring approval REVERSING User chooses to reverse the batch which is in complete status REVERSED Completed batch is now reversed Standard Reports – AP/AR Netting: Proposed Netting Report: The Proposed Netting Report contains the transactions selected for netting and it is created during the Create Netting Batch process. You can view this report when the netting batch status is Selected, Submitted, Approved, Suspended, Rejected, or Cancelled. This report is also sent to the trading partner if the Trading Partner Approval required check box is selected when creating the netting agreement. Final Netting Report: The Final Netting Report is created at the end of the netting process after the transactions have cleared. You can only view this report when the netting batch status is Completed. This report shows the final netting details, such as the values for Payment, Receipt Number, and Netted Amount. FAQs on AP/AR Netting: 1) Can netting be done across operating units? - One cannot net transactions pertaining to separate operating units as we mention the operating unit while defining the netting agreement. 2) What if I want to net the transactions in currencies other than functional currency? - I can perform netting between same currency transactions. 3) Can you update the netted receipts in the receipts work bench? - No, Netted receipts cannot be update once the netting process is complete 4) Any profile options relating to AP/AR Netting?? - Not in general but for Japan installations JMF: Enable Chargeable Subcontracting profile option. 5) Any approvals for netting batch from trading partner required - Trading Partner Approval Required - If you want to require approval by the trading partner, check the check box. Checking the check box displays the required Approver Name list of values and the No Response Action dropdown list. 6) Do AP/AR transactions get locked while Netting is in process? White Paper on AP/AR Netting Page 26
  • 27. - Yes, the Payables and Receivables transactions are selected and locked. No updates are allowed to these transactions while netting is in process. - Note: Receivables transactions cannot be locked during this step if trading partner approval is required or it is set to yes. These transactions can only be locked after receiving the trading partner's approval. 7) Can different suppliers and customers be selected for netting purposs? - Yes this can be achieved 8) Payables invoice types that can be chosen for netting? - Standard - Credit Memo - Debit Memo - Mixed 9) Receivables invoice types that can be chosen for netting? - Invoice - Credit Memo - Debit Memo - Chargeback White Paper on AP/AR Netting Page 27
  • 28. AP/AR Netting in Release 12 (R12) Setup, Transaction Processing and FAQ’s on AP/AR Netting Release 12 April 2010 Author: Shilpa Koganti White Paper on AP/AR Netting Page 28