Case 10b: Quantity Outside Tolerance (Negative Rejected), Unit Price Outside Tolerance (Rejected)
Scenario:
Both the quantity and unit price are outside tolerance, and neither has been approved.
Action:
The system rejects the invoice data, adjusts the values to match the purchase order, and generates necessary debit or credit notes.
Example:
Purchase Order (PO):
Quantity: 150 units
Unit Price: $30.00 per unit
Total Amount: $4,500.00
Invoice Received:
Quantity: 140 units (outside tolerance of -6.67%, rejected)
Unit Price: $33.00 per unit (outside tolerance of 10%, rejected)
Total Amount: $4,620.00
Tolerance Levels:
Quantity Tolerance: ±5%
Unit Price Tolerance: ±2%
Since both the quantity (140 units) and unit price ($33.00) are outside the acceptable tolerance limits and neither has been approved, the system will:
Reject the Invoice Data: The system does not accept the invoiced quantity or unit price due to their deviation from the tolerance limits.
Adjust the Quantity: The system adjusts the quantity to match the original purchase order quantity.
Adjusted Quantity = 150 units (from PO)
Adjust the Unit Price: The system adjusts the unit price to match the original purchase order unit price.
Adjusted Unit Price = $30.00 per unit (from PO)
Recalculate the Total Amount: The system recalculates the total amount using the adjusted quantity and unit price:
Corrected Total Amount = Adjusted Quantity × Adjusted Unit Price
Corrected Total Amount = 150 units × $30.00 per unit = $4,500.00
Generate a Debit Note: Since the original invoice total was higher than the corrected total, the system generates a debit note for the overcharged amount.
Debit Note Amount = Original Invoice Total - Corrected Total Amount
Debit Note Amount = $4,620.00 - $4,500.00 = $120.00
Process the Invoice: The system processes the invoice with the corrected total amount of $4,500.00 and issues a debit note for $120.00 to offset the overcharged amount.
This approach ensures that the financial transaction is corrected to match the purchase order terms, maintaining accurate and fair billing practices.