Customer Checks
Customer Checks stores customer data used by sales, receivables, credit limits, rewards, discounts, and customer reports.
Used By
Operational users and finance team
Data Type
transaction
Search Keys
Code, Date
When to Use This Form
- When users need to create, review, or update Customer Checks.
- When the transaction needs to become part of reports, balances, journals, or the next workflow.
- When existing data needs correction because policies, accounts, prices, contacts, or operating rules have changed.
Before You Start
- Make sure the user has access to this menu and the related reference data has already been prepared.
- Check required fields first, especially codes, names, dates, accounts, customers, suppliers, products, divisions, or departments.
- If the form uses active status, confirm the status before saving so the data appears in the correct selections.
Workflow
- Open Finance / Giro & Cash Related / Customer Bank Draft Report.
- Create a new record, or select an existing record when the data needs to be corrected.
- Fill in the required fields and complete supporting information that helps search, reporting, or transaction processing.
- Review detail lines, totals, payment information, taxes, discounts, and notes before saving.
- Click Save. If the application shows a validation message, follow the message until the data is saved successfully.
Key Fields
| Field | User Explanation | Status |
|---|---|---|
Code
id |
Unique code used to identify Customer Checks. Use a consistent pattern so users can search and sort the data easily. | Required |
Date
transdate |
Date used for recording, filtering, or reporting this data. Check the period before saving. | Required |
Division
division |
Business unit or branch related to this record. Choose the correct division before saving. | Required |
Type
kind |
Type stores information needed by Customer Checks. Fill it in according to the company data standard. | Required |
Currency
currtrans |
Currency used for amounts in this record. Check the exchange rate when it differs from the default currency. | Required |
Code
customerid |
Unique code used to identify Customer Checks. Use a consistent pattern so users can search and sort the data easily. | Required |
Details and Relationships
- If the form contains detail lines, each line affects totals, balances, stock, journals, or follow-up documents.
- Audit fields are filled in automatically by the application and help support teams trace changes.
After Saving
- The transaction can be used by reports, audit checks, and the next related process.
- Changes are normally used for new activity. Historical documents remain available for review.
- If required data is incomplete or inconsistent, the application rejects the save and shows a validation message.
Common Issues
- Data cannot be saved: complete required fields and read the validation message shown by the application.
- Data does not appear in selection or search: check active status, access rights, filters, and the search keyword.
- Duplicate code or name: use the existing record when it should be corrected, or use a different code for a new record.
- Report values do not match: recheck reference data, accounts, dates, transaction status, and related filters.
Available Fields
The list below summarizes the fields available in this form. Field labels follow the English UI language file used by the application.
| Field | User Explanation | Status |
|---|---|---|
Code
id |
Unique code used to identify Customer Checks. Use a consistent pattern so users can search and sort the data easily. | Required |
Date
transdate |
Date used for recording, filtering, or reporting this data. Check the period before saving. | Required |
Division
division |
Business unit or branch related to this record. Choose the correct division before saving. | Required |
Type
kind |
Type stores information needed by Customer Checks. Fill it in according to the company data standard. | Required |
Currency
currtrans |
Currency used for amounts in this record. Check the exchange rate when it differs from the default currency. | Required |
Code
customerid |
Unique code used to identify Customer Checks. Use a consistent pattern so users can search and sort the data easily. | Required |
Default Exchange Rate
ratedefault |
Default Exchange Rate stores information needed by Customer Checks. Fill it in according to the company data standard. | Optional |
Applied Exchange Rate
rateused |
Applied Exchange Rate stores information needed by Customer Checks. Fill it in according to the company data standard. | Optional |
Customer
hrcustomer |
Customer reference used for sales, receivables, rewards, or customer reports. | Optional |
Name
customername |
Name shown in selections, transactions, and reports. Use wording that is clear for daily users. | Optional |
Address
customeraddress |
Customer reference used for sales, receivables, rewards, or customer reports. | Optional |
Payment Type
paymenttype |
Amount used in calculation and reporting. Review the value before saving. | Required |
Incoming Check
giroin |
Incoming Check stores information needed by Customer Checks. Fill it in according to the company data standard. | Required |
Processed
accepted |
Processed stores information needed by Customer Checks. Fill it in according to the company data standard. | Required |
Due Date
duedate |
Date used for recording, filtering, or reporting this data. Check the period before saving. | Required |
Processed Date
accepteddate |
Date used for recording, filtering, or reporting this data. Check the period before saving. | Required |
Last Updated
updatetimestamp |
Audit timestamp filled in automatically by the application. | Optional |
Invoice
transid |
Invoice stores information needed by Customer Checks. Fill it in according to the company data standard. | Optional |
Source Transaction Invoice
transidref |
Source Transaction Invoice stores information needed by Customer Checks. Fill it in according to the company data standard. | Optional |
Outgoing Check
giroout |
Outgoing Check stores information needed by Customer Checks. Fill it in according to the company data standard. | Optional |
Journal Voucher
jtid |
Journal Voucher stores information needed by Customer Checks. Fill it in according to the company data standard. | Optional |
Others
hrothers |
Others stores information needed by Customer Checks. Fill it in according to the company data standard. | Optional |
Created By
usercreate |
Audit information filled in automatically when the record is created. | Optional |
Updated By
useredit |
Audit information filled in automatically when the record is updated. | Optional |
Menu Location
- Finance / Giro & Cash Related / Customer Bank Draft Report
/form/customergiro