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The user can view information related to the e-document and the FlowAP conversion process.
Field | Description |
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Name | This is a unique name used to identify the FlowAP Document record. If the file was received from Flow gateway, the name is the same as the XML file name. |
Source Documents | |
XML File Reference | The XML file to be converted. |
PDF File Reference | The related PDF file to the XML. This is the scanned document that generated the XML. |
Transaction Data | |
Transaction Type | The NetSuite transaction type that will be created when the FlowAP document is converted. |
Reference Number | The reference number included in the FlowAP document. This is the vendor’s reference number for the transaction. |
PO/Bill Reference Number | For vendor bills: The purchase order number referenced in the e-document. For vendor credits: The bill reference number referenced in the e-document. |
Subsidiary | The result of the subsidiary lookup that will be the assigned to the transaction upon conversion. |
Vendor | The result of the vendor lookup that will be the assigned to the transaction upon conversion. |
Transaction Date | he transaction issue date of the e-document. |
Preferences Tab | |
FlowAP Preferences | The list of FlowAP Preferences that were applicable to this document during lookup, parsing, validation, and conversion. |
NetSuite Preferences | The list of NetSuite preferences and features that are applicable to this document's processing for FlowAP. |
JSON Data file | The JSON data file created FlowAP processing. The JSON data are netsuite fields and the assign data for each field that will be used for conversion. |
Audit Trail - The FlowAP audit trail records script events and details throughout the FlowAP conversion process. | |
Date Created | Date and time of the event. |
Event type | A general description of the script event that was executed. |
Details | A detailed description of the script event that was executed. |
Manual E-document Upload using the FlowAP Document Record
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Error Catcher and Manually Converted Bills In cases where the accounts payable user needs to convert e-documents manually into vendor bills, the user needs to have access to the Electronic Documents Portlet. Add the portlet by going to your home dashboard and navigating to Personalize > SuiteApps > Electronic Documents The user can click on the portlet links to drill down into the list of E-documents.
The user can also view the list of Inbound E-documents by navigating to Transactions > Custom > Inbound E-Documents Click “View” to open the Inbound E-Document record in view mode. The user can click the following buttons to process the Inbound E-Document
Review the E-Document Audit trail sublist to review reasons for incomplete conversion or conversion failures.
Bill Conversion Data Handling Bill Conversation mapping is defined by the E-Document template. Review the E-document template selected in the INFlow preferences page of the subsidiary to see how the XML file is mapped to the corresponding transaction fields. This list describes additional validations and data handling provided by the INFlow SuiteApp.
Bill Conversion based on the expected receipt date This feature was first introduced in INFlow V2.6.0
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