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sales_credit:sales_exchange-local

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SETTLEMENT Sales Discount - Local

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 Discount
TRADE DEBTOR - CONTROL A/C AR Customer Account Prime Discount


Examples

Local Sales: Say, Discount=SGD5.00, Customer=CUS-000001.

1. APPROVE (Sales Discount - Local)

After approving the local sales discount, customer credit available will get SGD5 amount. And after posting the sales discount, the generated vouchers will contain:

2. POST Sales Discount - Local

GL Interface Type Sub-account Currency PrimeDr PrimeCr BaseDr BaseCr Notes
TRADE DEBTOR - CONTROL A/C CUS-000001 SGD 5 5
SALES DISCOUNT SGD 5 5
Totals 5 5


3. SETTLEMENT Sales Discount - Local

Once the sales discount is settled, customer credit available will loss SGD5 amount, and the generated vouchers will contain:

GL Interface Type Sub Account Currency PrimeDr PrimeCr BaseDr BaseCr Notes
CASH AT BANK SGD 5 5
TRADE DEBTOR - CONTROL A/C CUS-000001 SGD 5 5
Totals 5 5


/srv/www/htdocs/wiki/data/attic/sales_credit/sales_exchange-local.1406267379.txt.gz · Last modified: 2014/07/25 05:49 by redwana