The following table describes the setup related to Revenue Entry.
Setup |
Description |
Use this setup to define records to generate allocations automatically when transactions are created through Revenue Entry. | |
Define commission plans for transaction generation and setup auto commission options within this setup. | |
Define contracts utilized in the revenue process within this setup. | |
Define customers to be available as EDI Customers and define which EDI codes are available for these customers using this setup. | |
Use this setup to define Item Codes needed for transaction generation. | |
Define commissionable employees through the Accounting tab within this setup. | |
Define Point of Service values needed for line items on an EDI invoice imported from the UniGroup Rating Send (UniGroup Downloads) and through the Point of Service field in Add Revenue Item. | |
Define reductions that are to be automatically applied to assigned item codes upon revenue entry. | |
Define commonly used reductions available to users when defining allocations, revenue items, and revenue groups. | |
Create logical groups of Item Codes within this setup. | |
Define the groups of Item Codes needed for payment processing and revenue related to services and distributions from external systems. | |
Setup users and define security access through this setup. The following Security Profile modules associate to Revenue Entry functionality: Dynamics GP Order Inquiry NAVL Statement Integration Quote Revenue Entry Revenue Entry AR Branch SIRVA Statement Integration UniGroup Statement Integration UniGroup TransDoc Van Line Revenue Import
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