Difference between revisions of "How do I create an internal account?"
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Tim Laundon (talk | contribs) (New page: == Summary == The following article shows the preferred method for setting up an Internal Account from within Platinum. == In Detail == *Get into "Accounts" -> "Sales Ledger" -> "Customer...) |
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== Summary == | == Summary == | ||
The following article shows the preferred method for setting up an Internal Account from within Platinum. | The following article shows the preferred method for setting up an Internal Account from within Platinum. | ||
− | == | + | == More Information == |
− | + | Go to "Accounts" -> "Sales Ledger" -> "Customer File Maintenance" -> "Add or Edit Customers", and in the {{DataPrompt|Search On:}} field, type the word {{DataValue|internal}} and press {{KeyPress|F6}} to create a new account. | |
*On the first tab, fill out all the relevant contact details for the invoice account. | *On the first tab, fill out all the relevant contact details for the invoice account. | ||
*Next, press the {{KeyPress|Invoicing}} tab and amend the fields listed below as follows: | *Next, press the {{KeyPress|Invoicing}} tab and amend the fields listed below as follows: | ||
− | **Centre Modifier: Type | + | **Centre Modifier: Type {{DataValue|I}} and then press {{KeyPress|Enter}}and then press {{KeyPress|Enter}} on the warning message that is displayed. |
**Set the V.A.T. rate to the Exempt Rate set for your system. | **Set the V.A.T. rate to the Exempt Rate set for your system. | ||
− | **Payment Centre: Get the cursor in the Ledger Centre | + | **{{DataPrompt|Payment Centre:}} Get the cursor in the Ledger Centre and press {{KeyPress|C-F1}} to bring up a search box, and then type {{DataValue|internal}} and press {{KeyPress|Enter}}. Select the relevant centre for the internal account in question. If a suitable one doesn't exist, contact your Accounts Department and ask that they create one for you. |
− | **Cash Sale: Set this | + | **{{DataPrompt|Cash Sale:}} Set this to {{DataPrompt|Yes}}, so that invoices are paid off immediately to the internal account specified in the above step. |
− | **Internal: Set this to | + | **{{DataPrompt|Internal:}} Set this to {{DataPrompt|Yes}} (Transactions to internal accounts are considered "Outside the Scope" for V.A.T. purposes and will not appear on your VAT100 report). |
− | * | + | *Click {{KeyPress|Groups/Analysis}} tab and in the "Group" field, type {{DataPrompt|INT}}. Once again, this will aid you for reporting purposes. |
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+ | {{FAQ}}{{KB_Tags|Creating internal accounts}}{{KB_NL}}{{ZN_Admin}} |
Revision as of 16:43, 19 May 2009
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This article or section is under review. Be aware: Content may change as the document is reviewed. |
Summary
The following article shows the preferred method for setting up an Internal Account from within Platinum.
More Information
Go to "Accounts" -> "Sales Ledger" -> "Customer File Maintenance" -> "Add or Edit Customers", and in the "Search On:" field, type the word 'internal' and press <F6> to create a new account.
- On the first tab, fill out all the relevant contact details for the invoice account.
- Next, press the <Invoicing> tab and amend the fields listed below as follows:
- Centre Modifier: Type 'I' and then press <Enter>and then press <Enter> on the warning message that is displayed.
- Set the V.A.T. rate to the Exempt Rate set for your system.
- "Payment Centre:" Get the cursor in the Ledger Centre and press <Ctrl+F1> to bring up a search box, and then type 'internal' and press <Enter>. Select the relevant centre for the internal account in question. If a suitable one doesn't exist, contact your Accounts Department and ask that they create one for you.
- "Cash Sale:" Set this to "Yes", so that invoices are paid off immediately to the internal account specified in the above step.
- "Internal:" Set this to "Yes" (Transactions to internal accounts are considered "Outside the Scope" for V.A.T. purposes and will not appear on your VAT100 report).
- Click <Groups/Analysis> tab and in the "Group" field, type "INT". Once again, this will aid you for reporting purposes.