Debit notes, refunds and statements

Send a purchase debit note

Email the note and choose whether to attach its PDF.

Audience: Purchasing staffPermission: purchase_debit_notes capabilityModule v1.7.9
Exact navigationAdmin Area → Purchase → Debit Notes → open note → Send
Before you begin
  • Use an account with purchase_debit_notes capability and confirm the intended record or setting before making a change.
  • Follow the exact route above. If the screen or action is absent, check module activation, ownership and permissions rather than using another person’s account.
  • Use controlled test data for configuration, integration, email, AI, payment, portal or automation changes before production-wide use.

What this guide covers

Email the note and choose whether to attach its PDF. The instructions reflect the supplied module’s registered menus, controller actions, views, settings and code-backed validation flow.

Exact step-by-step process

  1. Open Admin Area → Purchase → Debit Notes → open note → Send.
  2. Open the source record and verify its recipient, status, totals and attachments.
  3. Choose the Send, Email, Share or Request action described in the guide.
  4. Select recipients and attachment/signature options shown by the form.
  5. Submit once and verify the activity, delivery metadata, public link or approval request created by the module.

Fields, choices and supported possibilities

Debit-note headerNumber, vendor, dates, currency and status.
AmountsItems/tax/totals, applications to purchase invoices and refund records.
OutputPDF, email recipients/attachment choice and vendor statement links.

Code-backed validations and workflow rules

  • Debit notes support open/void state actions, invoice applications and refunds through separate controller paths.

Expected result and verification

  • The supported send a purchase debit note flow completes without bypassing permission or validation checks.
  • The resulting record, setting, status, file, delivery event or external response is visible from the relevant workspace.
  • Unexpected validation, provider or linked-record errors are investigated before retrying.

Security, privacy and operational checks

  • Apply least privilege to purchasing, vendor, invoice, payment, return, contract and report permissions.
  • Verify vendor identity, bank/payment details, tax, currency, totals and approvals before creating financial commitments.
  • Treat public links, signatures, portal files, attachments and exported reports as controlled business records.
  • Test settings and automated jobs with controlled records before production-wide use.