AP interface

This program extracts any royalty amounts due to be paid (from the Payee balance files), creates invoices and flags them as paid and updates to the Accounts Payable system. It also calls RYO095 to create the royalty carry forward balance for the next period. AP interface can be selectively run by royalty groups as setup in TMSRY/RY-RGRP.

Accounts Payable interface definition is by company. This program interfaces in the currency of the contract and then converts to either the payee trade or the base currency depending on which is required as per the setup in TMSRY/RY-APIF.

The Royalty transaction file payment update traces back and includes previous royalty period where possible.

This program posts at an agent level unless either the invoice is by contract or the agent is blank, or if the Pay Agent flag on the Payee Shares maintenance is N, in which case the posting is performed at the payee level.

When creating an invoice in Accounts Payable, the header text is determined in TMSRY/RY-APTXT and special instructions for agent contracts are written from this control file also.

  1. In the menu, expand Publishing Modules Rights & Permission > Period Processing and Others > Close of Royalty Period and double-click Royalty Interface to AP. RYO070 Royalty Interface to AP panel appears.

Field Description
Royalty period Determine for which royalty period, royalties are to be interfaced to Accounts Payable. The period defaults to current processing royalty period, but can be overridden.
Method

The method can be one of the following.

1 = AP invoice (creates AP invoices for payment and interfaces to AP system)

2 = GL journal (creates GL journal against Unpaid GL account specified below)

3 = Invoice GL journal (reverses the GL journal created with option 2 above and creates AP invoice and interfaces to AP system)

Due date This is the due date for the generated AP invoices, defaults to today’s date but can be overridden.
Reference An optional reference can be entered. You can also enter ‘I‘ to put ISBN into reference or ‘*C‘ to use contract  as reference.
Particulars Particulars relating to a specific General Ledger account is mandatory.
Unpaid account If method option used for interface is 2, then the Unpaid GL account must be specified.
Company Nominate the royalty contract company or the range of companies to be included for AP interface. Leave blank to select all. User access must be setup for the company/companies in control file TMSRY/UA-ACC and TMSRY/UA-ACT.
Royalty group When a contract is established, the Royalty group is nominated. Contracts belonging to a single royalty group or a range of royalty groups can be selected to be interfaced to AP. Royalty group is mandatory.
Payment frequency When a contract is established, the Payment frequency is nominated.  Contracts belonging to a single payment frequency or a range of payment frequencies can be selected to be interfaced to AP. Leave blank to select all payment frequencies.
Payee AP interface can be run for a payee or a range of payees if required. Leave blank to select all payees. The payee’s trade or base currency must be equal to the currency on the contract.
Creditor type Contracts for payees with specific creditor type/s can be selected if required. 
  1. Enter the above information as required and click OK.