Transaction Allocation Review
How Allocations Work
When you place a credit on a customer or supplier account, being typically a payment from a customer or to a supplier, you need to identify which debit or debits that payment was for. The process of linking one or more debits to a credit is known as allocation.
The allocation process can be manual or automatic. The manual process is generally done by selecting the credit line in the transaction list together with any number of debit lines with amounts due. You then use the Allocate a Credit button.
Each debit and credit is assigned a unique allocation serial number. The system will then create an allocation file record for each debit. In these records are the debit allocation serial number and the associated credit’s serial number. These serial numbers are also stored in originating transaction records. With the resulting cross-reference table produced, the system can thereafter identify exactly which invoices have been paid by which payment.
Review Allocations
To view an account’s transaction allocations in detail double-click on the allocation icon column in the accounts review or other list.
Field |
Description |
---|---|
List of credits |
List of all credit allocations in the listed account. |
List of debits |
List of all debit allocations in the listed account. |
List of allocations |
List of allocations for the credit or debit selected in one of the lists above. You can edit the comment in the list.
|
Unallocated in currency |
The unallocated amount in transaction currency for the credit selected in the upper list. |
Unallocated local |
The unallocated amount in local currency for the credit selected in the upper list. |
Button |
Action |
---|---|
Print Allocation |
To print a report of the account allocations. |
See also: – |
Compiled in Program Version 5.10. Help data last modified 4 Jun 2012 04:47:00.00. Class wAcTrlReview last modified 23 Sep 2017 10:50:47.