Search HansaManuals.com HansaManuals Home >> Standard ERP >> Redovisning >> Inställningar Föregående Nästa Skriv ut hela kapitlet Sök Detta avser program version 5.3 N/L Accruals - The 'Generate N/L Accrual Transactions' Maintenance Function Once a month, you can use the 'Generate N/L Accrual Transactions' Maintenance function to create Transactions from any pair of balancing debit and credit postings in Accrual Simulations whose Transaction Date has passed. This will allow the Invoice amounts to be moved gradually from the Accrual Account to the Sales or Purchase Account as appropriate.To use this function, ensure you are in the Nominal Ledger and click the [Routines] button in the Master Control panel. Then click the [Maintenance] button in the subsequent window. Double-click 'Generate N/L Accrual Transactions' in the list. The following dialogue box appears:
An example Transaction is illustrated below. This was created from the Simulation illustrated above. When the function creates a Transaction from each pair of postings, it will change the Status of these postings (shown on flip B of the Simulation) from "Active" to "Transferred", preventing the creation of another Transaction the next time you use the function. The function will only create Transactions from "Active" rows, not from rows with any other Status. Note that you should use this function with care as it is more powerful than its name suggests: it will create Transactions from all Simulations in the selection, not just those representing Accruals. Therefore, you can use it as a general function to create Transactions from Simulations. Take care to enter a date in the N/L Accruals Until field in the dialogue box: if you do not, Transactions will be created for every row in every Simulation in the selection. If you would like to see the details of the Transactions before they are created, produce an N/L Accrual Transactions report before using this function. |