Difference between revisions of "How do I post opening balances?"
Katy Kitchen (talk | contribs) |
|||
Line 4: | Line 4: | ||
== More Information == | == More Information == | ||
− | If you are new to Platinum, and you have our accounts package, you will need to post | + | If you are new to Platinum, and you have our accounts package, you will need to post a single opening balance for each of your customers and suppliers. |
− | {{Note|text=If you are Cash Accounting for V.A.T., please see [[Cash Accounting|this article]] for posting opening balances.}} | + | {{Note|text=If you are Cash Accounting for V.A.T., please see [[Cash Accounting|this article]] for guidance on posting opening balances.}} |
− | + | == Posting Opening Balances == | |
− | + | Go to {{{SL}} for Customer balances or {{PL}} for Supplier balances. | |
− | * | + | * Select {{Menu|Sales/Purchase Ledger Postings}}. |
* At {{DataPrompt|Doc. type}}, choose {{DataValue|Opening balance}}. | * At {{DataPrompt|Doc. type}}, choose {{DataValue|Opening balance}}. | ||
− | * At {{DataPrompt|Supplier | + | * At {{DataPrompt|Customer/Supplier}}, enter the Customer/Supplier account code, or [[Do I have to remember all these customer and supplier codes?|search]] for their account. |
− | * At {{DataPrompt|Date}}, enter the | + | * At {{DataPrompt|Date}}, enter the first of the month that you started using Platinum for your accounts. |
− | * At {{DataPrompt|Comment}}, enter {{DataValue|OB}} for opening balance and {{KeyPress| | + | * At {{DataPrompt|Comment}}, enter {{DataValue|OB}} for opening balance and {{KeyPress|Enter}} |
− | {{Note|This | + | {{Note|text=This will take you straight down to the {{DataPrompt|Totals}} field.}} |
− | *Enter the value of the opening balance. | + | * Enter the value of the opening balance. |
+ | {{Tip|text=If the customer is in credit with you or you are in credit with the supplier enter the value as a negative value.}} | ||
* Click {{Button|Done}} and {{DataValue|Accept}} to save the posting. | * Click {{Button|Done}} and {{DataValue|Accept}} to save the posting. | ||
+ | |||
+ | == Adjusting Opening Balances == | ||
+ | If you find you have made a mistake you will need to post an adjustment against the Opening Balance to correct the transaction value. | ||
+ | |||
+ | See [[How do I adjust an account opening balance?]] for guidance on how to proceed. | ||
== See also == | == See also == | ||
* [[How do I enter an opening trial balance?]] | * [[How do I enter an opening trial balance?]] | ||
+ | * [[How do I adjust an account opening balance?]] | ||
* [[Recommended accounting routines]] | * [[Recommended accounting routines]] | ||
{{KB_Tags|opening bals, opening balances}} | {{KB_Tags|opening bals, opening balances}} | ||
{{How}} | {{How}} |
Revision as of 07:55, 3 August 2022
|
This article or section is under development. Be aware: Content will change as the document progresses. |
Contents
Summary
The following article explains how to post opening balances on your Sales Ledger and Purchase Ledger.
More Information
If you are new to Platinum, and you have our accounts package, you will need to post a single opening balance for each of your customers and suppliers.
If you are Cash Accounting for V.A.T., please see this article for guidance on posting opening balances. |
Posting Opening Balances
Go to {Sales Ledger for Customer balances or Purchase Ledger for Supplier balances.
- Select " Sales/Purchase Ledger Postings".
- At "Doc. type", choose 'Opening balance'.
- At "Customer/Supplier", enter the Customer/Supplier account code, or search for their account.
- At "Date", enter the first of the month that you started using Platinum for your accounts.
- At "Comment", enter 'OB' for opening balance and <Enter>
This will take you straight down to the "Totals" field. |
- Enter the value of the opening balance.
If the customer is in credit with you or you are in credit with the supplier enter the value as a negative value. |
- Click [Done] and 'Accept' to save the posting.
Adjusting Opening Balances
If you find you have made a mistake you will need to post an adjustment against the Opening Balance to correct the transaction value.
See How do I adjust an account opening balance? for guidance on how to proceed.
See also
- How do I enter an opening trial balance?
- How do I adjust an account opening balance?
- Recommended accounting routines