Repost Customer Ledger Item to Other Identity
Explanation
This activity is used to 
change the customer identity of unpaid customer ledger items. This is necessary if 
several customers are merged to a single identity or if one customer is split into several 
new customers. When reposting invoice ledger items, you can also 
change the payer and the deduction group of the reposted invoices, and you can 
select a new invoice type if needed. Moreover, you can enter notes for both the 
old and new items to record further information.
Prerequisites
This activity requires that customer ledger items in unpaid status exist 
which are not yet included in an open payment or in a reminder proposal or in an 
interest proposal.
The user must belong to a user group which is linked to a voucher type of 
function group B and to the accounting period which includes the voucher 
date of the reposting.
A payment series ID must be connected to the payment type code for Customer 
Ledger Item Reposting in Payment Basic Data.
The reposting method in Company/Payment/Posting Parameters must have the 
applicable value (Reverse/Correction).
The following posting types must be set up in posting control to create the postings for the new 
ledger items:
	- To repost invoices or difference items, posting type IP21 must be 
	set up to create postings for the new customer identity.
 
	- To repost advance invoices, posting types IP17, IP19, IP23 
and IP25 must be set up to create postings for the new customer identity.
 
	- To repost payments on account, posting type PP8 
must be set up to create postings for the new customer identity. 
 
	- To repost payments in advance, posting types PP36, PP38 and 
	PP40 must be set up to create postings for the new customer identity. 
	
 
System Effects
A voucher of function group B and a payment of payment type Customer 
Ledger Item Reposting will be created. The ledger items with the old identity will be offset, i.e. get Paid status. 
For each ledger item which is offset, a new unpaid ledger item with the new 
customer identity will be created. Moreover,
	- for each reposted invoice or difference item, a new difference 
	item will be created for the new customer identity. The new difference items 
	will get the invoice type entered in the Repost Customer 
	Ledger Items - Offset dialog box. The invoice number will be the old 
	invoice number with the prefix entered in the Repost Customer 
	Ledger Items - Offset dialog box. Invoice date, payment terms and 
	payment plan, payment reference, language code, currency rate, payment 
	method and payment address ID as well as reminder and interest info will be 
	inherited from the original invoices. Payer and deduction group will be set 
	to the entered values. The default document address ID of the new customer 
	will be set as invoice address ID, the default delivery address ID of the 
	new customer will be set as delivery address ID of the new invoices. As a 
	new difference item is created, it will not be possible to print the new 
	item. No new tax transactions will be created in tax ledger but all tax 
	codes from the original invoices will be copied to the invoice lines of the 
	new difference items for potential later tax reductions.
 
	- for each reposted advance invoice, a new advance invoice 
	including counter posting and tax postings will be created for the new customer 
	identity. The old advance invoice(s) will be written off using the tolerance 
	write-off code. The new advance invoices will get the invoice type entered 
	in the Repost Customer 
	Ledger Items - Offset dialog box. The invoice number will be the old 
	invoice number with the prefix entered in the Repost Customer 
	Ledger Items - Offset dialog box. Invoice date, payment terms and 
	payment plan, payment reference, language code, currency rate, payment 
	method and payment address ID as well as reminder and interest info will be 
	inherited from the original advance invoice(s). Payer and deduction group 
	will be set to the entered values. The default document address ID of the 
	new customer will be set as invoice address ID, the default delivery address 
	ID of the new customer will be set as delivery address ID of the new item. 
	As a new difference item is created, it will not be possible to print the 
	new item.
 
	- for each reposted payment on account, a new payment on account 
	will be created for the new customer identity. The new payment on account 
	will get the next series number from the Customer Payment on Account 
	payment document type.
 
	- for each reposted payment in advance, a new payment in advance 
	including tax posting and tax counter posting will be created for the new 
	customer identity. The new payment in advance will get the next series number 
	from the Customer Payment in Advance payment document type. Reversed 
	tax transactions will be created in the tax ledger for the old (offset) 
	payment in advance, and new tax transactions will be created for the new 
	payment in advance. 
 
Note: Entered notes will be attached to the old and new items.
Window
Repost Customer Ledger Item
Related Window Descriptions
Repost Customer Ledger 
Item
Repost Customer Ledger 
Items Offset
Procedure
  - Open the 
	Repost Customer 
	Ledger Items window and use the Populate
    or Query
    function to select the ledger items you want to repost to another customer 
	identity.
 
  - Highlight the items you want to repost to another customer identity, righ-click and 
	click Repost to Other Customer and Offset. The Repost Customer 
	Ledger Items - Offset dialog box appears. 
 
	- Enter the new customer identity in the New Customer field, or 
	select it from the List. Payer and deduction group from the new customer are 
	suggested in the Payer and Deduction Group fields.
 
	- Select Keep from the Payer drop-down list if the orginal 
	payer(s) shall be copied to the new invoices. Select New from the 
	Payer drop-down list and enter the needed payer ID if a new payer shall 
	be connected to the new invoices. 
 
	- Select Keep from the Deduction Group drop-down list if the 
	orginal deduction group(s) shall be connected to the new invoices. Select 
	New from the Deduction Group drop-down list and enter the needed 
	deduction group if a new deduction group shall be connected to the new 
	invoices. You can select New without entering a deduction group if 
	the new invoices shall be created without a deduction group.
 
	- Enter or select the invoice type for the new invoices in the New 
	Invoice Type field. If the original invoice type(s) shall be copied to 
	the new invoices, clear the New Invoice Type field. 
 
	- Enter a character in the New Invoice No Prefix field if the 
	invoices shall get another invoice number after reposting. Clear the New 
	Invoice No Prefix field if the original invoice numbers shall be kept.
 
	- Enter a text in the Old Items Note field if you want to record 
	the reason for the reposting in the old items.
 
	- Enter a text in the New Items Note field if you want to record 
	the reason for the reposting in the new items.
 
	- Modify the voucher date in the Voucher Date field if the 
	reposting shall be on another than the current date which was suggested. The corresponding 
	period appears in the Period field.
 
	- Enter another user group or select it from the List in the User Group 
	field if the default user group is not applicable.
 
	- Enter another voucher type of fucntion group B or select it from the 
	List in the Voucher Type field if your default voucher type of 
	function group B is not applicable for this reposting.
 
	- Click OK to save the reposting: A dialog box gives you 
	information on the created voucher and payment.