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When a local sales discount is approved, the Trade debtor – control A/C's sub account's credit available will be added the discounted amount of money.
When a Local Sales discount is posted to GL, the following accounting entries are created.
GL Interface Type/[Account] | Account Usage | Sub-account | Currency | Dr | Cr | Notes |
---|---|---|---|---|---|---|
TRADE DEBTOR - CONTROL A/C | AR | Customer - Account | Prime | Discount | ||
SALES DISCOUNT | Ledger | Prime | Discount |
Once the sales discount is settled, Trade debtor – control A/C's sub account's credit available will deduct the discouted amount of money and the following accounting entries are created.
GL Interface Type/[Account] | Account Usage | Sub-account | Currency | Dr | Cr | Notes |
---|---|---|---|---|---|---|
CASH AT BANK | Bank | Prime | (SalesPrice-Discount) + Tax | |||
TRADE DEBTOR - CONTROL A/C | AR | Customer Account | Prime | (SalesPrice-Discount) + Tax |