Payment Support Index Maintenance
This tutorial explains payment support index maintenance with consistent definitions, accountable owners, and traceable evidence.
Learning objective
Build a traceable payment support index maintenance process
Roles
Finance manager, GL or treasury accountant, business data owner
Prerequisites
- Organization and period definitions are agreed
- Required query permissions are available
Completion checks
- Sample three items against source records
- Confirm every exception has an owner and status
Common errors
- Changing filter definitions between periods
- Saving numbers without the query criteria
- Assigned exceptions lack review outcomes
Thailand project note
This tutorial covers ERP operational controls and data organization only. Thai tax, VAT, WHT, statutory accounting, or legal conclusions require review by a qualified Thai professional.
Steps
- 01
Define the scope, period, and owner for payment support index maintenance.
- 02
Prepare the ERP master data and relevant vouchers or operating records.
- 03
Run the review with consistent filters and save the result with a timestamp.
- 04
Log differences, causes, actions, owners, and due dates.
- 05
Have the finance manager sample-check and archive review evidence.
Implementation notes
- Keep organization, period, and status filters fixed
- Every exception must include a next action
References
- 一文看懂用友U9 cloud:制造业数智化转型的核心引擎 ↗用友U9 cloud · Accessed: 2026-08-27