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Customer VAT Invoice Check

For analyzing Sales VAT Invoices and detecting deviations between sales documents and VAT Invoices, in order to create VAT documents based on the type of sales operations, a related “Customer VAT Invoice Check” report has been added.

Entry data

Before you start creating and reconciling the amounts of VAT documents, you need to set up general information of taxes on 'Revenue Service Integration Setup' page and VAT posting periods in Tax Periods. You also need to specify the rules for VAT posting in VAT Posting Setup and set up and assign VAT Business Posting Groups for customers and VAT Business Posting Groups for items and services. For more information, see the VAT Posting Setup section or follow the links.

For a full-fledged data generation, all documents for sales, prepayment, payment, return of items and services, refunds in Customer VAT Invoice Check must be created and posted.

Customer VAT Invoice Check/Header

Select the Search icon, enter Customer VAT Invoice Check, fill out the following fields/filters in the report and click Recalculate Lines. If necessary, use the buttons on the ribbon.

FieldDescription
Date FilterThe Date of generating the page.
View ByOptions: Day / Week / Month / Quarter / Year / Accounting period.
Show agreement without entriesIf enabled, the report displays all customers. If disabled, then only those for which there are operations (records in customer ledger entries or/and Sales VAT Invoices) in the system for specified period.
Show Only with warningShow only the lines with deviation.
VAT PayerIf enabled, the report displays only customers which are VAT Payers. If disabled, then all customers regardless of the value of VAT Taxation.
Include DraftIf enabled, the report includes Sales VAT Invoices with External Status: “Draft”, “Draft Of Correction” in calculation of “VAT Invoice Amount“. If disabled, they are not included in the calculation.

Field Description

The tabular part of the Customer VAT Invoice Check page displays the following:

  • Status of settlements with counterparties for the period and operations that are the basis for generation of VAT documents,
  • Amounts of actually created and posted VAT invoices and adjustment calculations,
  • Control of amounts for VAT invoices – the amount for which the VAT invoices still need to be generated and posted.

Records in the tabular part are generated in terms of Customers for the period set in the Date Filter or View by fields (the following values are available: Day / Week / Month / Quarter / Year / Reporting period).

#FieldDescription
1.customer No.Number of the Customer.
2.Customer NameName of the Customer.
3.Agreement No.Number of the Customer’s Agreement.
4.VAT Bus. Posting GroupCode of the VAT Business Posting Group assigned to the Customer.
5.Begin BalanceThe amount of settlement for selected customers as of the start of the selected period based on Customer Ledger Entry.
6.Debit AmountThe debit amount of settlement for selected customers from the start of the selected period based on customer Ledger Entry.
7.Credit AmountThe credit amount of settlement for selected customers from the start of the selected period based on Customer Ledger Entry.
8.Ending BalanceThe credit amount of settlement for selected customers as of the end of selected period based on Customer Ledger Entry.
9.Invoice AmountThe sum of Amount (LCY) for selected customers in selected period based on Customer Ledger Entry, where Document Type = “Invoice” or “Credit Memo”.
10.VAT AmountThe sum of Amount for selected customers in selected period based on VAT Entries related to Customer Ledger Entries.
11.VAT Invoice AmountThe sum of “Total Amount Exc. VAT” for selected customers in selected period based on Sales VAT Invoice, where External Status is Sent, Corrected, Approved, Approved correction and Advance VAT = NO.
12.VAT Amount INV.The sum of “Total VAT” for selected customers in selected period based on Sales VAT Invoice Line, where External Status is Sent, Corrected, Approved, Approved correction and Advance VAT = NO.
13.PrepaymentThe sum of Amount (LCY) for selected customers in selected period based on Customer Ledger Entry, where Document Type = “Payment” and Advance Payment = YES.
14.Advance VAT InvoiceThe sum of “Total Amount Inc. VAT” for selected customers in selected period based on Sales VAT Invoice Line, where External Status is Sent, Corrected, Approved, Approved correction and Advance VAT = YES.
15.Check Invoice Amount"Invoice Amount"– “VAT Invoice Amount”.
16.Check Invoice VAT Amount"VAT Amount" – “VAT Amount in INV.”
17.Check Advance Amount“Prepayment” – “Advance VAT Invoice”.
18.Deviation existsIf in the “Check Amount”, “Check VAT Amount”, ”Check Advance Amount” fields, the value > 0, then YES; if = 0, then NO.

Fields on the ribbon

On the ribbon, it is possible to change the data generation period using the Previous Period and Next Period buttons. With their use, you can quickly change the calculation periods based on the selected interval in the View by field.

Using the Ledger Entry button, you can view the Customer Ledger Entry for the selected Customer for the period specified in the filter.

Using the Sales VAT Invoice List button, you can view the sales VAT Invoices for the period specified in the filter.

Using the Posted Sales VAT Invoice List button, you can view the posted sales VAT Invoices for the period specified in the filter.

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