Beispiel einer cXML-Rechnung mit Abrechnungskontoverteilung

Revised: 16 March 2016

Coupa ermöglicht es, Rechnungen mit einem vorgeschlagenen Abrechnungskonto über cXML zu verbuchen. Der einzige Unterschied in der Spezifikation ist die Verwendung des Verteilungsknotens, der jede der einzelnen Verteilungen auf Buchhaltungskonten und den jeweiligen Anteil davon angibt.


...
	 <Distribution>
			<Accounting name="Buyer assigned accounting code 1">
				 <AccountingSegment id="ABC123456789">
						<Name xml:lang="en">Purchase</Name>
						<Description xml:lang="en">Production Control</Description>
				 </AccountingSegment>
				 <AccountingSegment id="IT">
						<Name xml:lang="en">Seg Name</Name>
						<Description xml:lang="en">Seg Code</Description>
				 </AccountingSegment>
			</Accounting>
			<Charge>
				 <Money currency="USD">100</Money>
			</Charge>
	 </Distribution>
	 <Distribution>
			<Accounting name="Buyer assigned accounting code 2">
				 <AccountingSegment id="ABC000000001">
						<Name xml:lang="en">Trade</Name>
						<Description xml:lang="en">Misc (Expensed)</Description>
				 </AccountingSegment>
			</Accounting>
			<Charge>
				 <Money currency="USD">245</Money>
			</Charge>
	 </Distribution>
...

cXML-Rechnung gegenüber Vertrag


<?xml version="1.0" encoding="UTF-8"?>
<!DOCTYPE cXML SYSTEM "http://xml.cXML.org/schemas/cXML/1.2.020/InvoiceDetail.dtd">
<cXML version="1.0" payloadID="1240598937@SUBDOMAIN.coupahost.com" timestamp="2009-05-01T01:24:51-07:00">
	 <Header>
			<From>
				 <Credential domain="DUNS">
						<Identity>Kyle</Identity>
				 </Credential>
			</From>
			<To>
				 <Credential domain="DUNS">
						<Identity>Coupa</Identity>
				 </Credential>
			</To>
			<Sender>
				 <Credential domain="DUNS">
						<Identity>Kyle</Identity>
						<SharedSecret>Shhh</SharedSecret>
				 </Credential>
				 <UserAgent>Your Very Own Agent 1.23</UserAgent>
			</Sender>
	 </Header>
	 <Request deploymentMode="production">
			<InvoiceDetailRequest>
				 <InvoiceDetailRequestHeader invoiceID="735675n3" purpose="standard" operation="new"
						invoiceDate="2009-05-01T11:45:51-07:00">
						<InvoiceDetailHeaderIndicator />
						<InvoiceDetailLineIndicator isAccountingInLine="yes" />
						<PaymentTerm payInNumberOfDays="30" />
				 </InvoiceDetailRequestHeader>
				 <InvoiceDetailOrder>
						<InvoiceDetailOrderInfo>
							 <MasterAgreementReference>
									<!-- payloadID is the Contract number -->
									<DocumentReference payloadID="2257" />
							 </MasterAgreementReference>
						</InvoiceDetailOrderInfo>
						<!-- First invoice quantity line. -->
						<InvoiceDetailItem invoiceLineNumber="1" quantity="1">
							 <UnitOfMeasure>EA</UnitOfMeasure>
							 <UnitPrice>
									<Money currency="USD">365</Money>
							 </UnitPrice>
							 <!-- The lineNumber here is the backing PO line number, i.e. in this case, line 2 of PO #10 -->
							 <InvoiceDetailItemReference lineNumber="1">
									<!-- The Description will show up on the invoice's line description. Although it can be 
									anything, Coupa recommends that you make this the same as the backing PO line's description. -->
									<Description xml:lang="en">NEW 1 NINTENDO WII GAME CONSOLE + WII FIT BUNDLE +GAMES</Description>
							 </InvoiceDetailItemReference>
							 <!-- Shows up as "Total" on the invoice line -->
							 <SubtotalAmount>
									<Money currency="USD">365</Money>
							 </SubtotalAmount>
							 <!-- Billing Account segments.	-->
							 <Distribution>
									<Accounting name="Chart of Accounts">
										 <!-- id value represents the segment in Coupa -->
										 <AccountingSegment id="ABC123456789">
												<Name xml:lang="en">Purchase</Name>
												<Description xml:lang="en">Production Control</Description>
										 </AccountingSegment>
										 <AccountingSegment id="IT">
												<Name xml:lang="en">Seg Name</Name>
												<Description xml:lang="en">Seg Code</Description>
										 </AccountingSegment>
									</Accounting>
									<Charge>
										 <Money currency="USD">100</Money>
									</Charge>
							 </Distribution>
							 <Distribution>
									<Accounting name="Buyer assigned accounting code 2">
										 <AccountingSegment id="ABC000000001">
												<Name xml:lang="en">Trade</Name>
												<Description xml:lang="en">Misc (Expensed)</Description>
										 </AccountingSegment>
									</Accounting>
									<Charge>
										 <Money currency="USD">245</Money>
									</Charge>
							 </Distribution>
						</InvoiceDetailItem>
				 </InvoiceDetailOrder>
				 <InvoiceDetailSummary>
						<!-- Should add-up and be consistent with the subtotals on the invoice lines -->
						<SubtotalAmount>
							 <Money currency="USD">365</Money>
						</SubtotalAmount>
						<Tax>
							 <Money currency="USD">8</Money>
							 <Description xml:lang="en">total tax</Description>
							 <TaxDetail purpose="tax" category="VAT" percentageRate="1" taxPointDate="2009-04-24T11:45:51-07:00">
									<TaxableAmount>
										 <Money currency="USD">365</Money>
									</TaxableAmount>
									<TaxAmount>
										 <Money currency="USD">8</Money>
									</TaxAmount>
									<TaxLocation xml:lang="en">CA</TaxLocation>
							 </TaxDetail>
						</Tax>
						<SpecialHandlingAmount>
							 <Money currency="USD">5</Money>
						</SpecialHandlingAmount>
						<!-- Shipping costs -->
						<ShippingAmount>
							 <Money currency="USD">30</Money>
						</ShippingAmount>
						<NetAmount>
							 <Money currency="USD" />
						</NetAmount>
				 </InvoiceDetailSummary>
			</InvoiceDetailRequest>
	 </Request>
</cXML>

Parts or all of this page might have been machine-translated. We apologize for any inaccuracies.