Difference between revisions of "How do I allocate a payment to an invoice?"

From Catalyst
Jump to: navigation, search
(Bulk update)
 
(7 intermediate revisions by 4 users not shown)
Line 1: Line 1:
==Summary==
+
== Summary ==
This article will explain how to "Allocate" a "Payment" to an "Invoice".
+
This article will explain how to allocate a payment to an invoice.
  
==More Information==
+
== More Information ==
 
Go to {{Menu|{{SL}}|Receipts}} or {{Menu|{{PL}}|Payments}}.
 
Go to {{Menu|{{SL}}|Receipts}} or {{Menu|{{PL}}|Payments}}.
* Enter the {{DataPrompt|Customer:}} or {{DataPrompt|Supplier:}} you need to do the allocation on and select {{Button|Select}}.
+
* Enter the {{DataPrompt|Customer}} or {{DataPrompt|Supplier}}
* Move to the "Invoice" that you want to "Allocate" and {{KeyPress|F}} for Full.
+
* Move to the Invoice that you want to allocate the payment to and either press {{KeyPress|F}} for Full if the whole balance is being settled else enter the amount to mark as paid.
* Move to the "Payment" that you want to "Allocate" and {{KeyPress|F}} for Full.
+
* Move to the Payment that you want to allocate and press {{KeyPress|F}} for Full or enter the amount to use (make sure you enter a minus).
* Select {{Button|Done}}.
+
 
 +
{{Information|text=The amount shown in the bottom right of the screen should equal zero.}}
 +
 
 +
* Click{{Button|Done}}.
 
* In the {{DataPrompt|Cheque no./Comment:}}, enter {{DataValue|Allocated}} and the invoice number.
 
* In the {{DataPrompt|Cheque no./Comment:}}, enter {{DataValue|Allocated}} and the invoice number.
* For the {{DataPrompt|Payment centre:}} enter {{DataValue|Z990}} for the "Suspense Account".
+
* For the {{DataPrompt|Payment centre}} enter {{DataValue|Z990}} - Suspense Account.
* Select {{Button|Done}} and {{Button|Accept}} and the "Allocation" is complete.
+
* Click {{Button|Done}} and {{Button|Accept}}.
 
 
{{Information|text=The Amount in {{DataPrompt|Total payments:}} should equal zero.}}
 
  
 
== See also ==
 
== See also ==
* [[How do I Adjust the Centre on a Transaction?]]
+
* [[How do I adjust the centre on a transaction?]]
* [[How do I Adjust the Date on a Transaction?]]
+
* [[How do I adjust the date on a transaction?]]
* [[Why is my System Posting Items on the Wrong Date?]]
+
* [[Why are document items being posted on the wrong date?]]
 
 
{{KB_Tags|Allocate, Allocation, alloc, Invoice, Payment, ADJUSTMENTS, ADJUST, contra, correction, mistake, mispost, errors}}{{KB_SL}}{{KB_PL}}{{ZN_Accounts}}
 
  
{{KB_Tags|SL04, PL04}}
+
{{KB_Tags|allocate, allocation, alloc, invoice, payment, adjustments, adjust, contra, correction, mistake, mispost, errors}}
 +
{{How}}{{TShoot}}{{KB_PL}}{{KB_SL}}{{ZN_Accounts}}

Latest revision as of 05:30, 13 May 2021

Summary

This article will explain how to allocate a payment to an invoice.

More Information

Go to " Sales Ledger Receipts" or " Purchase Ledger Payments".

  • Enter the "Customer" or "Supplier"
  • Move to the Invoice that you want to allocate the payment to and either press <F> for Full if the whole balance is being settled else enter the amount to mark as paid.
  • Move to the Payment that you want to allocate and press <F> for Full or enter the amount to use (make sure you enter a minus).
The amount shown in the bottom right of the screen should equal zero.
  • Click[Done].
  • In the "Cheque no./Comment:", enter 'Allocated' and the invoice number.
  • For the "Payment centre" enter 'Z990' - Suspense Account.
  • Click [Done] and [Accept].

See also


Feedback
Thank you for using our Knowledge Base, we value your feedback. Did you find this article useful? 'Yes' or 'No'
Keywords AND Misspellings
allocate, allocation, alloc, invoice, payment, adjustments, adjust, contra, correction, mistake, mispost, errors