This illustration shows the differences between a consolidated statement for two bill-to sites (San Francisco and California) and the site-specific statements for these two sites.
The consolidated statement shows how Receivables displays subtotals for each of the customer's bill-to sites. Cross-site and cross-customer receipts are displayed below the unapplied receipts for each bill-to site. On-account or unapplied receipts with no location are printed on a separate page of the consolidated statement. The consolidated statement contains a summary page at the end of the report with summarized subtotals by currency for each of the customer's bill-to sites.
The site-specific statements show how Receivables prints a separate statement for each bill-to site. Each statement shows all the transactions relating to that site, subtotaled by currency. Cross-site and cross customer receipts are displayed below the unapplied receipts for each bill-to site.