Golgappa.net | Golgappa.org | BagIndia.net | BodyIndia.Com | CabIndia.net | CarsBikes.net | CarsBikes.org | CashIndia.net | ConsumerIndia.net | CookingIndia.net | DataIndia.net | DealIndia.net | EmailIndia.net | FirstTablet.com | FirstTourist.com | ForsaleIndia.net | IndiaBody.Com | IndiaCab.net | IndiaCash.net | IndiaModel.net | KidForum.net | OfficeIndia.net | PaysIndia.com | RestaurantIndia.net | RestaurantsIndia.net | SaleForum.net | SellForum.net | SoldIndia.com | StarIndia.net | TomatoCab.com | TomatoCabs.com | TownIndia.com
Interested to Buy Any Domain ? << Click Here >> for more details...

When a liability to supplier create in oracle apps

Answer Posted / ph

I have different views that Mahesh. Liability to pay supplier, arises when the material is received in the factory or premises. In this case, we have full control over the material. Its irrelevant to book the liability in the books, as this is just a formality of accounting. For India, once the material is received in manufacturing organization, CENVAT can be claimed on the material received. Hence, by law, the liability to pay to supplier arises once the material is received. (SUBJECT TO FOB SHIPMENTS, WHEN THE LIABILITY STARTS WHEN THE MATERIAL IS DISPACTED BY THE SUPPLIER). Best judge is the Inventory AP Accrual Account, which is control account to analyse , whether the Payables Invoice is booked against the supplier or not.

Now its upot the shipment terms , when the liability occurs.

In oracle apps, the liability occurs when Invoice is validated, means, the liability account defined in vendor site is charged in sub ledger.

So, it doesn't mean that only if the invoice is validated, supplier liability is booked. Its basically at the time of receiving, when AP Accrual is accounted at the time of receiving in Purchasing module.

Is This Answer Correct ?    2 Yes 0 No



Post New Answer       View All Answers


Please Help Members By Posting Answers For Below Questions

Payables Applications Technical Reference Manual

2493


What is the Invoicing System in Oracle R12

1415


Explain Customer Creation and Maintenance Process. Provide samples of customer master records with Payment Terms.

3018


What are the inventory report to check inventory status.

2456


how we can stop the transaction for not transfer to the reporting ledger at the time of entering the transaction in pl

2455


explain with examples what r the roles & Responsiblities of a functional consultant who reviews the Test Scripts, Test Cases and Test Execution Results of AP, FA and GL.

2580


I have a requirement where during the consolidation into USD (from GBP books) I want use two different exchange rates for two consolidations. Child SOB is same but the Parent SOB's are different. How can this be done in Oracle Financials? Answers will be Appreciable. Thank You.

1966


What is gap analysis, how do you defined?

1143


What is the use of operating unit, while configure multiorg?

1114


can any one tell me what exactly functional consultant do on daily basis? client requirements?

953


Give examples & explain the below mentioned activity. "Analyzing the documents provided by the client and thereby identifying the test cases to be tested for the application assigned (FA, AP and GL)"

2265


Hi I'm new in ERP - Oracle Application i appriciate if any one help me in this issue i need SQL to get badeget balance Acutal Balance Encumbrance Balance fund Avalable thanx ahmed

2083


Re: what are the Issue that we face in Gl,PO and AP while Supporting

2254


When we run a GL Reconciliation Report, we also see the void payments in that report. Even though i disable the option of Show Void payments, its appearing in the report.How do i proceed so that i dont see those void payments in the GL Reconciliation Report?

2907


What is the procedure for requition import?

2346