YonSuiteFinanceIntermediate

AP Invoice-Hold Release Check

This tutorial explains ap invoice-hold release check in an ERP using owners, checkpoints, and traceable evidence.

finance18 minUpdated 2026-08-27
01

Learning objective

Standardize ap invoice-hold release check for daily operations

Roles

Finance manager, accountant, business data owner

Prerequisites

  • Organization and period definitions are agreed
  • Required query permissions are available

Completion checks

  • Sample three records against source documents
  • Confirm every exception has status, owner, and review evidence

Common errors

  • Inconsistent filters
  • Exporting without preserving criteria
  • Exceptions lack follow-up ownership

Thailand project note

This tutorial covers ERP operational controls and data organization only. Any Thai tax, VAT, WHT, statutory accounting, or legal conclusion requires review by a qualified Thai professional.

03

Steps

01Confirm the scope, owner, and review cycle for ap invoice-hold release check.
02Prepare source records and freeze organization and period filters.
03Run the ERP query or register the activity and retain criteria and timestamp.
04Record cause, owner, action, and due date for every exception.
05Have the finance owner review and archive evidence.
  1. 01

    Confirm the scope, owner, and review cycle for ap invoice-hold release check.

  2. 02

    Prepare source records and freeze organization and period filters.

  3. 03

    Run the ERP query or register the activity and retain criteria and timestamp.

  4. 04

    Record cause, owner, action, and due date for every exception.

  5. 05

    Have the finance owner review and archive evidence.

04

Implementation notes

  • Freeze definitions before comparing results
  • Every exception needs clear follow-up ownership
05

References