Description For a single billing month, convenience netting nets revenuse, expenses, cash calls due, and reclassified cash call payments. If the partner has a credit balance, a payable entry is posted to the partner's vendor account and the open items are cleared. In JVAS 1.1 convenience netting is a separate clearing procedure from Partner Netting. Company Code - The range of companies for which the convenience netting process should be performed. Venture - A range of ventures for which the convenience netting process is to be performed. Partner - A range of partners for which the netting process should be performed. Equity Group - A range of equity groups for which convenience netting should be performed. Billing Month - Default to previous month. Only enties which have this billing month will be included in the calculation of convenience netting. Batch Session - Indicates whether a batch session is created. Keep Batch Input - If this flag is marked, the batch input session will not be deleted after a successful run. |