Page tree

Versions Compared

Key

  • This line was added.
  • This line was removed.
  • Formatting was changed.

The report used to match the payments (Conversion Letter for Purchase) made against Customs Clearance Outward documents according to the exchange legislation. This option is located under the Reports menu of the Export section. The filter options are:

Filter

Value

AR/AP Code

Group / Range

AR/AP Title

Group / Range

AR/AP Aux. Code

Group / Range

AR/AP Auth. Code

Group / Range

Trading Group

Group / Range

Export File Code

Group / Range

Export File Name

Group / Range

Export File Order Number

Group / Range

Slip Number

Group / Range

Slip Aux. Code

Group / Range

Slip Document Number

Group / Range

Custom Office Code

Group / Range

Custom Office Description

Group / Range

Customs Declaration Form (Export) No

Group / Range

Customs Declaration Form (Export) Date

Start / End

Payment Type

Group / Range

F.Currency Type

Currency types

CL (for Purchase) No

Group / Range

CL (for Purchase) Date

Start / End

Transaction Date

Start / End

CL (for Purchase) Aux. Code

Group / Range

Bank Name

Group / Range

Bank Account Type

Current Account / Loan Account / Current Account in F.Currency / F.Currency Loan Account / Credit Card Account / F.Currency Credit Card Account

Bank Branch

Group / Range

Bank Account Code

Group / Range

Bank Account Description

Group / Range

Bank Account Status

Active / Passive

Bank Account No

Group / Range

Bank Account Aux. Code

Group / Range