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Default AP Cash Account for Branch/Company Bills and Adjustments

  • February 25, 2025
  • 2 replies
  • 25 views

Does anyone know of a way to have the cash account and payment method on a new bill/adjustment default to a specific account based on the financial branch selected?

 

 

Best answer by Manikanta Dhulipudi

@mikegrci Data will come based on the Vendor settings,

if you are looking to display default accounts then implement a Business event using import scenario and push the data.

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2 replies

Manikanta Dhulipudi
Captain II
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@mikegrci Data will come based on the Vendor settings,

if you are looking to display default accounts then implement a Business event using import scenario and push the data.


  • Author
  • Freshman I
  • 9 replies
  • March 3, 2025
Manikanta Dhulipudi wrote:

@mikegrci Data will come based on the Vendor settings,

if you are looking to display default accounts then implement a Business event using import scenario and push the data.

Thank you, Manikanta.  I was aware that the settings inherit from the vendor, but we do use some vendors within multiple branches/companies.  I will attempt to get this to work with a BE/Import Scenario.


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