Difference between revisions of "How do I adjust the centre on a transaction?"

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== See Also ==
 
== See Also ==
* [[:Category:Getting Started|Getting Started]]
 
* [[:Category:Trouble Shooter|Trouble Shooter]]
 
* [[:Category:FAQ|Frequently Asked Questions]]
 
* [[Getting Started - Accounts]]
 
 
* [[How do I Find a Customer?]]
 
* [[How do I Find a Customer?]]
* [[What's the difference between Search and Filter?]]
 
* [[Search Exclusions]]
 
* [[How do I Find a Customer?]]
 
* [[Creating a New Customer/Supplier]]
 
* [[Setting up an Account status]]
 
* [[Creating Stock Groups]]
 
* [[How do I Create an Internal Account?]]
 
 
* [[How do I Adjust the Date on a Transaction?]]
 
* [[How do I Adjust the Date on a Transaction?]]
 
* [[How do I Allocate a Payment to an Invoice?]]
 
* [[How do I Allocate a Payment to an Invoice?]]

Revision as of 16:36, 13 September 2013

Summary

If a document has been posted with for example an incorrect date, that will need to be corrected. This article explains how to do so.

Details

  • Go into " Systems\Accounts Sales Ledger\Purchase Ledger Maintenance Options Adjustment".
  • Enter the relevant account code for the transaction.
  • The following screen looks like the Customer/Supplier History Screen. Find the required transaction.
  • Press <E> for edit.
  • This screen will look like the <Shift+F2> - "Details" screen but you can move down to edit the Centre.
  • The above screen will also allows you to edit the following fields:
    • Date
    • Analysis
    • Comment
    • Cleardown Hold
    • Site
    • Centre
WARNING:  This option is only allowed for transactions that have not been processed by the Daybook, Nominal Update or Audit.

See Also


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Keywords AND Misspellings
Centre, Invoice, Adjust, adjustments, date, wrong