we have purchased a loptop from the supplier, we have made
the payment to supplier through check and the supplier has
taken the money from the org. bank and even the transaction
has been reconciled with cash management. But due some
reason we have returned the loptop to the supplier. Now How
this real time scenario will be resolved in the Payable
module.

Answer Posted / meena rao

Use Return to Vendor option if using receiving and create a
debit memo and get the cheque back from Vendor.

Is This Answer Correct ?    15 Yes 4 No



Post New Answer       View All Answers


Please Help Members By Posting Answers For Below Questions

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

1846


how to do customization while doing oracle implementation. what is the role of functional consultant in customization?

2182


What is Reporting of financial data in a project.

1614


Re: While you are in implemenation what are u faced the issues ? tell me what some ap & GL issues?

1959


what is VAT claim process?

2109






Anyone provide the oracle fin/scm definetions

1908


I am traying to access oracle functiona/ technical interview questions asked by the consultancy "infosys", but i cant find anything when i go the to the links, i need the oracle erp techno functiona questions pls, Thanks, in advance Tovia

1914


what is the difference between bonus reserve and bonus expense

3997


Payables Applications Technical Reference Manual

2040


Explain about Localization (IND & US ) in Oracle Apps ?

2709


What is gap analysis, how do you defined. What are the pre-requisities?

635


What is the use of gl set of books name, while configure multiorg?

649


What is the procedure for requition import?

1895


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.

2085


what is the steps to customization ?

1915