Customer payments (AR302000)

You can use this window to enter incoming payments and apply them against the customer’s open items, as well as to create customer refunds.
This topic provides information about the elements in this window in Visma Net, such as fields, field values, buttons, and check boxes.

You can use this window to enter incoming payments and apply them against the customer’s open items, as well as to create customer refunds.

Also, you can add charges applied by the bank for payment processing, and release a payment document. If the payment document still has a non-zero balance after it has been applied to customer invoices and notes, you can apply its balance against additional invoices or notes.

## Search line in list window If you are in the list window, the first line in the table is a search line. Each column has a search field which you can click to search for or filter on specific values and narrow down the displayed table rows. You can search and filter in as many columns as you need to, to only display the results you want to view. There are two types of search fields: + White: here you can type a specific search term to display results in this column containing this exact value. If you search on several (partial) words, you can separate them by a space or **%** and get different results: + space: the result contains the words in any order, + **%**: the result contains the words in the specific order, and the **%** functions as a wildcard as well. + Grey: you can click this to open the column filter pop-up window where you can filter the results for this column.

What to do from this window

The window toolbar

ButtonDescription
ReleaseReleases the payment, automatically creating a batch of appropriate transactions.
VoidThe system creates the document of the Voided refund type with a negative amount. For the voided refund, you can specify the application date, period, and description, and then release the voided refund.
InquiriesProvides the Customer details and Customer documents menu command, which you can click for quick access to the respective windows.
Reports

Provides the following menu commands, which you can click for quick access to reports:

Unreleased transactions (detailed)
Navigates to the Unreleased transactions (detailed) (AR610500) report.
Customer documents (detailed)
Navigates to the Customer documents (detailed) (AR622000) report.

The top part

Here, you can enter a new payment or select one of the existing documents for viewing its details or for editing.

ElementDescription
Type

The type of a document. The following types are available:

Payment
A document recording a payment received from the customer. One payment may be applied to multiple invoices, debit notes, and overdue charges.
Credit note
A document crediting the customer, which may be used as a base for a customer refund or applied against invoices and debit notes.
Prepayment
A document recording a customer prepayment. One prepayment may be applied to one or multiple invoices, debit notes, and overdue charges.
Customer refund
A payment, designed to reimburse the customer, that can be applied to credit notes.
Voided payment
A payment that was voided.
Voided refund
A refund that was voided.
Balance write-off
A document that writes off a customer’s small balance that won’t be paid.
Ref. no

The unique identifier for the payment. This number is automatically generated by the system for a new payment document, based on the number series in the Customer ledger preferences (AR101000) window.

Note

If the Manual numbering check box is selected for the specified numbering sequence in the Number series (CS201010), the system validates each new reference number you enter in order to prevent the creation of payments and prepayments with the same reference number.

Status

The status of the customer payment, which for a new document is either Balanced or On hold. (The default status of a new document is controlled by the Hold documents on entry option in the Customer ledger preferences (AR101000) window.) The status of an existing document can be one of following:

On hold
A user can edit the document but cannot release it. If you clear the Hold check box when you finish editing, the document status changes to Balanced.
Balanced
The credit and debit totals are equal for the newly created customer ledger and it can be released. To change the status of the document to Balanced, clear the Hold check box.
Open
The document is released, but the application amount is less than the payment amount.
Reserved
The document has been released and then put on hold. A user selected the Hold check box for the document with the Open status and the system changed the document status from Open to Reserved. Reserved payments could not be applied to outstanding documents and are excluded from the auto-application process. You can clear the Hold check box to release the payment from hold.
Closed
The document has been released and closed (application amount is equal to the payment amount).
Voided
The document has been voided.
Hold

A check box that indicates (if selected) that the document is a draft with the On hold status.

This check box is unavailable for debit adjustments.

DateThe date when a payment is applied to a document (invoice or note). The field displays the current business date for unapplied or partially applied payments and the latest application date for the closed payment. You can apply a payment to a number of documents on different application dates. Also, you can use the Balance by customer (AR632500) report to view application dates of the documents.
Financial periodThe financial period to which the payment should be applied, which the system fills in based on the date.
Payment ref.

A secondary payment reference identifier, which can be:

  • a system-generated number, if the Suggest next customer ledger no. check box is selected for the used cash account in the Payment methods (CA204000) window, or
  • an external reference number entered manually (such as a bank check number).

The system requires a payment reference number if the Require payment reference on entry check box is selected in the Customer ledger preferences (AR101000) window.

This field is not available for credit notes.

CustomerThe customer who issued the payment.
Location

The customer location associated with the sale. Once the customer is selected, this field displays the customer’s default location ID, which can be changed.

This element appears only if the Business account locations functionality is enabled in the Enable/disable functionalities (CS100000) window.

Payment methodThe customer’s default payment method; this field is not available for credit notes.
DescriptionThe identifier or description of the customer’s default payment method.
Cash accountThe default cash account associated with the payment method; this field is not available for credit notes. If this is a clearing cash account, the payment will be included in a batch deposit.
Currency

The currency of the payment document.

Once the customer is selected, the system inserts the customer’s default currency, but it may be changed if the customer’s settings allow currency overriding.

Invoice textA user-defined description of the payment. The description may contain up to 50 alphanumeric characters.
Payment amountThe total of the payment that is entered manually.
Applied to documentsThe total of the documents to which payment is to be applied. The total is displayed until payment release.
Applied to ordersThe total of the orders for which payment is reserved, minus the amount transferred to invoice.
Available balanceThe amount that has not been applied. This value is non-zero if the payment amount is greater than the document amount.
Write-off amountThe amount that has been written off.
Finance chargesThe total on all finance charges applied to this document.
Deducted charges

The total amount of bank charges deducted by bank from the payment amount on your cash account (bank account).

Even if the charges were actually deducted by bank, the original payment amount is shown in the top part.

ROT or RUT payment (check box) (check box)

A check box that you select to indicate that this is a payment from Skatteverket for ROT and RUT.

Note

By selecting this check box, you can filter on ROT/RUT payments in a generic inquiry.

The Documents to apply tab

This tab includes the list (in a tabular format) of the customer’s open documents to which the incoming payment is to be applied.

Click Load documents in the table toolbar to specify a date range, a range of reference numbers, or both, and the system adds to the list the customer’s documents that meet the criteria. If there are open credit notes matching the specified criteria, they appear at the top of the list.

ButtonDescription
Load documentsOpens the Load options dialog box, where you can specify criteria for loading the customer’s open invoices or debit notes.
ColumnDescription
BranchThe branch for which the payment has been created.
Doc. type

The type of document to which the payment is applied. The selection depends on the type of the payment document selected in the top part of the window:

  • A payment may be applied against the documents of the following types: Invoice, Credit note, Debit note, and Overdue charge.
  • A credit note, prepayment, and balance write-off may be applied against the documents of the following types: Invoice, Debit note, and Overdue charge.
  • A customer refund may be applied against the documents of the following types: Credit note, Payment, and Prepayment.
Note

The Overdue charge option is available if the Overdue charges functionality is enabled in the Enable/disable functionalities (CS100000) window.

Ref. no

The reference number of the invoice or note to which the payment is applied.

If you click this number, the Sales invoices (AR301000) window opens, on which you can view the details of the selected document.

CustomerThe identifier of the customer.
Amount paidThe amount to be paid which is displayed in the currency of the document that is selected in the window.
Cash discount takenThe cash discount to be taken.
Balance write-offThe amount to be written off.
Write-off reason code

A reason code that defines an account and subaccount to be used for writing off credits or balances.

You must select a reason code if the balance write-off amount is non-zero.

DateThe creation date of the customer ledger document.
Due dateThe due date of the customer ledger document.
Cash discount dateThe date through which the customer can take a cash discount.
BalanceThe balance of the document after the cash discount is taken and the amount is paid.
Cash discount balanceThe unused amount of the cash discount, in case of partial payment.
DescriptionA description of the document.
CurrencyThe currency of the customer ledger document.
Post periodThe period to which the payment transactions are to be posted.
Customer orderA reference to a document of the customer, such as a purchase order number.
Cross rateA cross rate that you can optionally specify between the currency of the payment and currency of the original document.

The Load options dialog box

You use this dialog box, which opens when you click Load documents in the table toolbar, to add to the list of the customer’s open documents the documents that meet the criteria you specify.

ElementDescription
From dateThe earliest date for the documents to be displayed.
To dateThe latest date for the documents to be displayed.
From ref. no.The document reference number to start with.
End ref. no.The document reference number to end with.
Max. number of documents

The maximum number of documents to be selected from the database.

The default value is 999. That is, the system selects 999 records from the database that comply specified criteria, applies additional filters, if needed, and displays the resulted list of records.

Include child documents

A field where you can select an option to indicate to the system the types of documents that belong to the child customer accounts of the selected parent account that should be loaded along with the documents of the currently selected customer account. The following options are available:

None
Indicates that the system should load none of the documents of the child customer accounts.
Except credit notes
Indicates that the system should load all documents of the child accounts that meet the other specified criteria, except for the documents with the Credit note type.
All
Indicates that the system should load all documents of the child accounts that meet the specified criteria.

The field is available if both of the following conditions are met:

Order by

An option you can select to order the listed documents, which can be one of the following:

Due date, ref. no.
The system loads the list of the documents sorted in ascending order first by due date and then by reference number. This option is selected by default.
Doc. date, ref. no.
The system loads the list of the documents sorted in ascending order first by document date and then by reference number.
Ref. no.
The system loads the list of the documents sorted in ascending order by reference number.
Load (button)Loads the documents matching the specified criteria to the table and closes the dialog box.
Cancel (button)Closes the dialog box.

The Application history tab

This tab is used to store the history of the payment applications. As a result of each application, a batch of journal transactions is generated. All application batches are displayed on this tab.

ButtonDescription
Reverse application

Cancels the payment application.

The button is not available for a document of the Balance write-off type.

To reverse an application for this document type, void the document (Balance write-off) and release the voiding.

The system sets the Voided status to the document ( Balance write-off ) and opens the invoice it has been applied to.

ColumnDescription
BranchThe branch to which the document belongs.
Batch numberThe ID of the batch that contains appropriate transactions. If you click this number, the Journal transactions (GL301000) window opens, where you can view the details of the batch.
TypeThe type of document to which the payment was applied.
Ref. noThe reference number of the customer ledger document to which the payment was applied. If you click this number, the Sales invoices (AR301000) window opens, where you can view the details of the customer ledger document.
CustomerThe customer who issued the payment.
Amount paidThe amount that was actually paid which is displayed in the currency of the document that is selected in the window.
Cash discount takenThe cash discount taken during the application.
Balance write-offThe amount that has been written off.
Financial periodThe financial period of the payment application.
DateThe date of the document (invoice or debit memo).
Due dateThe due date of the customer ledger document.
Cash discount dateThe last date when the cash discount for the customer was available.
BalanceThe remaining amount after the cash discount was taken and certain amount was paid.
Cash discount balanceThe unused amount of a cash discount, in case of partial payment.
DescriptionA description of the document.
CurrencyThe currency of the payment document.
Post periodThe period to which payment transactions were posted.
Customer orderA reference to the customer document, such as a purchase order number.
VAT adjustmentA check box automatically selected by the system if the customer ledger document specified in this row is subject to VAT adjustment.
VAT Credit note

The reference number of the VAT credit note generated in the Generate VAT on cash discount (AR504500) window for the customer ledger document specified in this row.

This reference number is specified by the system automatically once the VAT credit note is generated.

VAT doc. no.The number of the VAT document.

The Orders to apply tab

This tab includes the list of the customer’s open orders for which the incoming payment is to be reserved. Click Load orders in the table toolbar to specify a date range (and, if needed, a range of reference numbers) to add the customer’s specific orders to the list.

ButtonDescription
Load ordersOpens the Load options dialog box so that you can add the customer’s orders to the list.
ColumnDescription
Order typeThe order type for which the payment is to be reserved. A customer ledger payment may be reserved for the order types that generate customer ledger documents of the Invoice or Debit note type.
Order no.

The reference number of the order for which the payment is reserved.

By clicking this number, the Sales orders (SO301000) window opens, in which you can view the order details

Status

The status of the document, which is assigned automatically and can be one of the following options:

On hold, Credit hold, Open, Back order, Shipping, Cancelled, Invoiced, or Completed.

For details on statuses, see: About sales order processing options.

Applied to orderThe total amount reserved for the order.
Transferred to invoiceThe amount that has been applied to invoice.
DateThe creation date of the order.
Due dateThe due date of the order.
Cash discount dateThe date through which the customer can take a cash discount.
BalanceThe balance of the order after the cash discount is taken and the amount is paid.
DescriptionA description of the order.
Order totalThe total amount of the document.
CurrencyThe currency of the document.
Invoice no.The reference number of the invoice generated for the order.
Invoice dateThe date of the invoice.

The Load options dialog box

You use this dialog box, which opens when you click Load orders in the table toolbar, to select the order to reserve the payment for.

ElementDescription
BranchThe branch in the company to which the order belongs.
To dateThe latest date for the documents to be displayed.
From dateThe earliest date for the documents to be displayed.
End order no.The order number to end with.
Start order no.The order number to start with.
Max. number of documents

The maximum number of documents to be selected from the database.

The default value is 999. That is, the system selects 999 records from the database that comply specified criteria and applies additional filters, if needed.

Order by

An option you can select to order the documents on the list, which can be one of the following:

  • Order date, order no.
  • Order no.
Load (button)Displays the documents matching the specified criteria and closes the dialog box.
Cancel (button)Closes the dialog box.

The Financial details tab

This tab contains information about the customer ledger account and subaccount used in the payment document, as well as the date and period of the document.

For a released payment, it contains the reference to the batch that implements appropriate transactions.

ElementDescription
Batch no.The batch that contains appropriate transactions. You can click the batch number to view the batch.
BranchThe branch that had applied this payment.
Customer ledger accountThe asset account specified as the default customer ledger account for the customer.
Customer ledger sub.The corresponding default subaccount for the customer.
Project

The project with which this document is associated, or the code indicating that this document is not associated with any project; the non-project code is specified in the Project accounting preferences (PM101000) window.

This field appears only if the Customer ledger workspace has been integrated with the Projects module in the Project accounting preferences (PM101000) window.

Project task

The particular task of the project with which this document is associated.

This field appears only if the Customer ledger workspace has been integrated with the Projects module in the Project accounting preferences (PM101000) window.

The Payment information section

ElementDescription
Payment dateThe date of the payment release.
Payment periodThe period associated with the payment date.
ClearedA check box that indicates (if selected) that the payment has been cleared with the bank.
Clear dateThe date when the payment has been cleared with the bank.
Batch deposit

A check box that indicates (if selected) that payment should be deposited.

You can change this option if the status of the cash account has been changed. Payments can be deposited only from a clearing cash account.

DepositedA check box that indicates (if selected) that payment was deposited.
Batch deposit dateThe date of the deposit.
Batch deposit no.The number of the deposit that includes the payment.
Payment messageA free-form message connected with the payment, max. 140 characters.

The Finance charges tab

This tab contains a list of charges and fees applied to the payment by the bank for processing. For example, if you receive a customer payment where the bank has withdrawn a fee, you can register this bank fee together with the payment.

Note

Finance charges cannot be specified for customer refunds, credit notes, and prepayments.

ColumnDescription
Entry type

The charge, selected by its entry type ID.

You can select the entry type from the list of entry types associated with the cash account.

Note

A finance charge will be posted as a cash transaction and will not affect the customer ledger.

DescriptionA detailed description of the entry type.
Offset accountThe account that is used for this charge.
Offset subaccountThe corresponding subaccount for this charge.
AmountThe amount of the charge.

Related pages

Concepts

Tasks

Windows

Last modified February 19, 2026