Search HansaManuals.com HansaManuals Home >> Standard ERP >> Podstawy księgowości >> Transaction Records Poprzednia Następna Wersja do wydruku Szukaj Opis dotyczy systemu HansaWorld Enterprise wersja 4.0 Transactions in Hansa - Payments A Payment is the Purchase Ledger equivalent of a Receipt: it is the transaction which occurs when you pay a supplier's Purchase Invoice. In the Nominal Ledger, the raising of a Payment debits the Creditor Account and credits the Bank or Cash Account. Payments are usually entered in the Purchase Ledger, where they are allocated against the appropriate Invoice(s), and the consequences in the Nominal Ledger are handled automatically. Normally, a Payment will generate a Nominal Ledger Transaction like this:Creditor Control Account If the Payment is not made against a specific Purchase Invoice (i.e. it is an "On Account" Payment), the On Account A/C entered in the Supplier Category or the Account Usage P/L setting (in order of priority) will be debited. Bank or Cash Account If a payment is received in a foreign currency, the Rate Loss, Rate Gain and Rate Round Off Accounts will be used. Cash discounts will be booked to the relevant Cash Discount Accounts. All these accounts are specified in the Account Usage P/L setting. If any of the Account Numbers refers to a non-existent Account, Hansa, in attempting to generate the Nominal Ledger Transaction, will display the error message: "Transaction could not be generated. Check settings". |