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Steps below for the prepayment deposit made to Vendor.

StepStageEntryRemarks
1Order Created and made prepayment to vendorDr.Prepayment Account (Mapped)

Dimension Value for Dept, Supp, SO No. and Invoice No.= "PO". 

Deposit Entry = True



Cr.
Bank


2

Group Shipment Invoice Posted

Use deposit to offset AP

Dr.Account Payable

Apply Enty = Group Shipment Invoice

Dimension Value - select the actual invoice no.



Cr.
Prepayment Account (mapped)

Apply Entry = Deposit Entry

Dimension Value - select the actual invoice no.



Cr.
Bank(Used if prepayment is not enough to offset all invoice amount due)






3

Un-apply entry for the deposit it applied for settle group shipment invoice (*applied in Step 2)

Select Posting Date & close

4

Go to General Leder Entry to find the entries of the Deposit made to vendor to reverse (entries for Step 1)

System will show all related entries: G/L Entries booked, Vendor Ledger Entries booked & Bank Account Ledger Entry (if used bank to offset the Invoice No. in Step 2)

Important Note

(1) Unapply entry - Users need to refer to the sequence to unapply the entry. 


(2) Exchange Difference

If the reverse case has exchange difference, user need to use General Journal to reverse for the exchange difference.




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