Difference between revisions of "How do I deal with finance subsidies?"
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== Summary == | == Summary == | ||
The following article outlines how to deal with finance subsidies using the {{Menu|Receipts}} option of the {{SL}}. | The following article outlines how to deal with finance subsidies using the {{Menu|Receipts}} option of the {{SL}}. | ||
− | You will need to post the subsidy to a [[How do I create a nominal code?|nominal]] centre which is classed as a Profit & Loss - Cost of Sale | + | You will need to post the subsidy to a [[How do I create a nominal code?|nominal]] centre which is classed as a Profit & Loss - Cost of Sale centre. Please check with your accountant if you are unsure how to classify the code. |
== More Information == | == More Information == | ||
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* Click {{Button|Done}} and {{Button|Accept}} to post the payment. | * Click {{Button|Done}} and {{Button|Accept}} to post the payment. | ||
− | {{Information|text=This clears the balance on the invoice and creates a cost | + | {{Information|text=This clears the balance on the invoice and creates a cost to the business.}} |
== See also == | == See also == |
Revision as of 14:40, 4 October 2019
Summary
The following article outlines how to deal with finance subsidies using the " Receipts" option of the Sales Ledger.
You will need to post the subsidy to a nominal centre which is classed as a Profit & Loss - Cost of Sale centre. Please check with your accountant if you are unsure how to classify the code.
More Information
Go to " Sales Ledger Receipts".
- Process the finance payment you have received following this article.
You should then be left with a balance against the invoice which agrees to the subsidy deducted by the finance company. |
- Repeat the steps in this article until you reach the [Payment] tab.
- Enter the "date" the subsidy was deducted.
- Enter the unit stock number the subsidy relates to in the "Comment" field.
- Enter your Finance subsidy nominal centre as the "Payment centre".
- Click [Done] and [Accept] to post the payment.
This clears the balance on the invoice and creates a cost to the business. |
See also
- How do I reverse a payment on the sales ledger?
- How do I change the method of payment after it has been posted?
- How do I adjust the date on a transaction?
- How do I create a nominal code?