Welcome to the Veson Nautical Knowledge Base. In the Help Center, you can view the same articles and contact support as needed.

Skip to end of metadata
Go to start of metadata

You are viewing an old version of this page. View the current version.

Compare with Current View Page History

« Previous Version 2 Next »

For TC In, TC Out, Cargo, and VC In Claims, you can create standalone invoices for brokers whose Claim commissions are set to be invoiced separately.

Setting Up Separately Invoiced Claim Commissions

On the Pricing Tab of a TC InTC OutCargoCargo COAVC In, or VC In COA, in the Broker grid, do the following:

  1. Add a new row.
  2. Enter a Broker and Amount. In the T (Type) field, % must be selected.
  3. In the M (Claim) field, select 1 - Claim commissions will be paid separately.

Claim Commission Summary

From the Claim Commission Summary, you can view and create Claim Commission Payments.

To open it, do one of the following:

The Claim Commission Summary lists all existing payments.

Claim Commission Payment

On the Claim Commission Summary, you can do either of the following:

  • Open an existing payment: Right-click its line and then click Details.
  • Create a new payment:
    1. Click .
    2. Select the Broker.
    3. Each possible payment appears, with the S check box selected. Clear check boxes for any detail lines you do not want to include.
    4. Enter an Invoice Number.
    5. Change the Status to Actual and then click ; the invoice appears in Financials.
    6. To print an invoice, click .


 Related Config Flags
CFGEnforceOpsLedgerCodeCommissionableProperty

CFGDefaultClaimCommissionInvoiceSetting

CFGEnableCommissionSharing

  • No labels