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Insert excerptIMOSIMOSnopaneltrueComplete an Address form for each contact with whom you do business. Take care not to create duplicate entries; they can cause errors in accounting. If you have a contact that functions as more than one type, do one of the following:

  • Enter separate records for that contact.

    • Complete and save the first record, delete the Address Type, press Enter, and select the other Type. You are asked if you want to create a new record; click Yes.

  • Enable configuration flag CFGEnableMultiRoleOnAddressBook, which allows multiple roles on one Address Book entry, all sharing the same information.

Because you need to add information about your banks to the Address form for your company and add information about your contacts' banks to their Address records, you might find it easiest to start by completing Bank Address forms.

Creating an Address Book Entry

To open a new Address Book entry:

  1. In the Data Center Image Modified, under Quick Links, do one of the following:

    • Click Address.

...

    • Click Address - List.

...

    •  In the Address Book, click Image Modified.

...

  1. Image Added
  2. Complete at least the following information:

    • Types: The form has slight differences for Bank (Type N) entries and Company (Type W) entries.

    • Short Name: Enter the name and then press Enter or Tab. If the Type and Short Name do not match any existing records, a message asks if this is a new record. To create a new record, click Yes.

      • The Short Name for Types other than W can be up to 32 characters, but if you will use mirroring for internal companies, the Short Name for all companies must be the same. Because a W record is limited to 6 characters, the internal Owner and Charterer Type records are also limited to 6 characters.

    • Curr: Check that the default currency is correct; otherwise, select the currency in which you deal with this contact.
      Note: The base currency cannot be modified on W companies.

    • Full Name

    • Address: Enter at least the first line.

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      RefCode
      RefCode

    • Reference No.: This field is used in Barging for forming Contract IDs for Time Charter, SPOT, or COA Equipment Contracts; it is required for any Charterer or Owner being added to one of these contracts.
      Note: For schema versions 21.2 and later, up to 32 characters can be entered. For earlier schema versions, up to 8 characters can be entered.

  3. Complete additional fields as needed.

    • Credit Term, for number of days, and Credit Line are as advised by the Chartering Accountant. This is for information only and will not trigger any validation when invoicing.

  4. Save the form.

Note: When creating Agent address book entries, ensure that the Veslink ID field is populated with the Agent’s Company Code from veslink.com. If you do not know this value, feel free to reach out to Veson Nautical Support for assistance.

...

The Summary Tree is at the right; when an Address has been used in a voyage, it summarizes and provides access to important forms and related information. You can attach and access documents or links.

Remittance Information Tab

(This tab is different for Bank (Type N) Addresses and Company (Type W) Addresses.) This tab contains information about Remittance and Correspondent Banks. Add the contact's bank account information here for their payable invoices.

  • To enter additional information, right-click the line and then click Remittance Information. The Remittance Bank record must be set up in IMOS and selected in the company's W Type record before transactions can be posted.

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    ContactsTab
    ContactsTab

Contacts Tab

This tab contains information about individual contacts for this Address.

Image Modified 

  • Docs check box: Select for the contact to be able to receive Veslink forms.

  • Reports check box: Select for the contact to appear in the Address Book Distribution list in the Output section of report Properties, to be able to receive reports.

  • To add more information about a contact, right-click the line and then click Contact Details.

Properties Tab

When User-Defined Fields are set up in the Data Center for Address Book records, this tab appears, where the fields can be selected and values entered for them.

Additional Information

  • Alerts: This field can be used to capture issues; the Charterer field

    appears light red on

    appears light red on several forms after an Alert is entered for it.

     An

     An Alerts column can also be selected to appear in the Address Book.

  • Parent Company

     is

     is used for reporting purposes in cases where there are multiple sub-entities for one company. Additionally, the

    Parent company of

    Parent company of the Vessel Owner is recognized as the Vessel Head Owner in Time Charter lists.

  • Inactive: If you have the Create Inactive Address Book Records Module Right selected, under Actions in the Data Center, this check box is selected by default for Addresses you create. To activate an Address, you must have the Module Right cleared.

  • Internal Address (configuration flag CFGAddBookInternalAddressText

     must

     must be set

    to 

    to Internal Address): Select to identify a cargo counterparty for an outcharter voyage (when generating Demurrage Time Bar Tasks).

  • To view or enter ports serviced by the contact, click 

    Image Modified

     to open the Ports Serviced form.

  • For an agent (Type A) contact, to customize the expense breakdown on a Port Disbursement, click 

    Image Modified

     to open the Agent/Vendor Port Expenses List.

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BankN
BankN
Creating a Bank Entry (Type N)

A first-level account in the Chart of Accounts is in the Bank category. Each first-level account must have a corresponding Address form.

Complete an Address form for each Remittance Bank of your company and select it as the Remittance Bank on your Company Address form. This is for receivable invoices. You do not have to set this up for banks you are paying to; their information is set up in the Remittance Bank fields of their customer entries.

To set up Bank Information, in the Data Center Image Modified, under Quick Links, click Address - List.

In the Address Book, filter the Address Type column heading to show Banks. Compare the list to the Chart of Accounts entries of Category Bank, and add any missing bank records.

  • Required fields:

    • TypeN. When you save an Address form of this type, the bottom left tab changes to Account Information.

    • Short Name: The Account Name from the Chart of Accounts.

    • Currency: The bank currency.

    • Full Name: The name of the bank.

    • Address: The bank address.

    • Country: The bank country.

Account Information Tab

Complete only the first line, with at least the Currency and Account NumberImage Removed

...

  • To enter additional information, right-click the line and then click Remittance Information. The Remittance Bank record must be set up in IMOS and selected in the company's W Type record before transactions can be posted.

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CompanyW
CompanyW
Creating Your Company Entry (Type W)

To set up your Company entry, on the Address form, enter the following information. Required fields:

  • TypeW. When you save an Address form of this type, the bottom left tab changes to Bank Links.

  • Short Name: For a Type W record, it is limited to 6 characters.

  • Currency: Your company currency.

  • Full Name: The name of your company.

  • Address: Your company address.

  • Country: Your company country.

  • Tax Code Required (Type W only): When selected, the Tax Code field is required on the Transaction Data Entry form for posting the invoice.

After setting up this record, you can create different subcompanies for invoicing, separating in the P&L, and Security access.

A Type W record that has been used in IMOS cannot be deleted.

...

Select the Address entries for the Remittance Banks for your receivable invoices. You do not have to set this up for banks you are paying to; their information is set up in the Remittance Bank fields of their customer entries.Image Removed

...

You can add a company logo for use on invoices you issue:

    1. Use File Management to upload a logo.

    2. Click the Logo File field at the bottom right of the Address form.

    3. Select the logo file. The logo will appear on any invoices generated for your company.

Note: Make sure that the file name of the logo does not include special characters, for example, &, *, etc.

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AddressBook
AddressBook
Address Book

All entries appear in the Address Book. In the Data Center Image Modified, under Quick Links, click Address - List.

The Address Book is a standard a standard IMOS list, so you can sort it, filter it, do a Quick Search, and create custom Views for it. You can use logical operations to filter particular columns in the list.

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cfg
cfg


Expand
titleRelated Configuration Flags


Name/Flag

Description

Add Book Internal Address Text
CFGAddBookInternalAddressText

Display a check box in the Address form, labeled with the value of the flag. When the string is empty, the check box does not appear.

Add Book Unique Reference Code
CFGAddBookUniqueRefCode

When enabled, the Reference No. field is required to be unique among all records.

AE Company Name
AECompanyName

The management company code. Should not be changed.

Broker Types
CFGBrokerTypes

Sets

the 

the Contact Type

 letter

 letter that can correspond to brokers. Each type should be in single quotes, and multiple types need to be separated by commas (for example, A,B).

Company Code
CFGCompanyCode

Default company selected for

running 

running Financials Reports.

Enable Default Demurrage Accrual Percentage
CFGEnableDefaultDemAccrualPercentage

When enabled, a default demurrage accrual percentage (Dem Accrual %) can be specified for each internal company record in the Address Book. The default accrual percentage is applied to voyage estimated demurrage and Laytime Calculations.

Enable Multi Role on Address Book
CFGEnableMultiRoleOnAddressBook

Enable multiple roles on one Address Book entry, all sharing the same information.

Enable Operations LOB
CFGEnableOpsLOB

If enabled, displays

an 

an LOB (Line of Business) field on the Address (Type W), Voyage Estimate, Voyage Fixture, Voyage Manager, and contract forms.

Enable Remittance Instructions
CFGEnableRemittanceInstructions

When enabled, a new Instructions field will be added to

the 

the Remittance Information

 form

 form in

the 

the Address Book. Free-text instructions entered here will be populated in the Remittance Instructions field in

the 

the Payment Batch, as well as in the Remittance Instructions and Payment Batch Remittance Instructions columns in the Payment Batch List

and 

and Payables Summary List, respectively. The Instructions will also be exported in the companyBankExport and paymentBatchExport notifications.

Enforce Bank Activation Security
CFGEnforceBankActivationSecurity

Adds a

Security 

Security Module Right

 under

 under Data Center > Actions

to 

to Activate/Deactivate Banks on Address Book Entries. When adding a new bank link to an Address Book Entry, the Inact check box will always be selected by default, and a user without this right cannot edit it.

Exclude Company from Counterparty Selection
CFGExcludeCompanyFromCounterpartySelection

When enabled, Companies (type W Addresses) are excluded from Counterparty selection in invoices, claim forms, and the TDE form:

  • Other Revenue and Expenses (VEXP/VREV/REXP/RREV/XOTH): Vendor

  • Voyage Expenses Rebill Management (OREB): Bill To

  • Rebills for Off Hire and Port Expenses, enabled by CFGRebillForOffhire (SREB): Bill To

  • Claim: Counterparty

  • TDE: Vendor

Restrict Key Fields on Address Book
CFGRestrictKeyFieldsOnAddressBook

When enabled, the Ref No. and Cross-Ref. No. fields on the Address Book screen are disabled from user entry.

Select Bank on Invoice Type
CFGSelectBankOnInvType

Y = Determines the Remittance Bank of an invoice by the following rules:

  • AP invoice: Counterparty's bank, whether the amount is positive or negative

  • AR invoice: Company's bank, whether the amount is positive or negative

N = Determines the Remittance Bank of an invoice based on whether the amount is positive or negative:

  • AP invoice: 

    • Amount is positive: Counterparty's bank

    • Amount is negative: Internal Company's bank

  • AR invoice:

    • Amount is positive: Internal Company's bank

    • Amount is negative: Counterparty's bank

Show Remittance in Cargo
CFGShowRemittanceInCargo

Adds Remittance BankInvoice %Payment Terms, and Balance % fields

to the 

to the CP Terms DetailsCargo COACargoVC In COA, and VC In forms. Also adds a Remittance Bank field to Time

Charter 

Charter Other Information. Remittance information flows between these places; for example, fixing an Estimate will transfer the remittance information.

  • On a Cargo COA, VC In, or Time Charter Out, changing the Company clears the remittance bank information, as this may change with a change to the Company.

  • On a VC In COA or Time Charter In, changing the Owner clears the remittance bank information, as this may change with a change to the Owner.

  • A default value for

the 
  • the Remittance Bank

 for
  •  for each currency can be selected in

the 
 entry
  •  entry for Cargo COA, Cargo, and Time Charter Out (Other Information) contracts, but it can be changed later.

Use Vessel Company for Remit Bank
CFGUseVesselCompanyForRemitBank

Populates the Remittance Bank information on AR invoices from the Address Book contact whose Short Name matches the voyage's Vessel Code before looking for the voyage Company.

Add Tech Mgmt Co Add Type
CFGAddTechMgmtCoAddType

When enabled, a new Address Book type of T (Technical Management Company) is available. You can select Type T companies in the Manager drop-down menu on the Vessel Contacts tab.

Add Book Internal Address Text
CFGAddBookInternalAddressText

When a value is specified, a new check box is displayed in the Address Book with the label being the value of the configuration flag (e.g. Internal Address). When the value is empty, the check box is not shown.