Difference between revisions of "Internal Accounting, Example Promotional Stock"

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{{Review}}{{Incomplete}}
 
 
== Summary ==
 
== Summary ==
This article shows an example of how to deal with promotional stock that is given away for sales prospecting purposes. It assumes that you can create nominal ledger centre and understand how to invoice stock from Point of Sale.
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This article shows an example of how to deal with items given away for promotional purposes. It assumes that you can create nominal ledger centre and understand how to invoice stock from Point of Sale.
  
If you are unsure about how to create nominal centres and invoice stock from Point of Sale, please review the below articles.
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If you are unsure about how to create nominal centres and invoice stock from Point of Sale, please review these articles.
 
*[[How do I Create a Nominal Code?]]
 
*[[How do I Create a Nominal Code?]]
 
*[[Selling Stock at Point of Sale]]
 
*[[Selling Stock at Point of Sale]]
  
==The Philosophy Behind Catalyst Internal Accounts==
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== The Philosophy Behind Catalyst Internal Accounts ==
 
   
 
   
 
'''Move stock internally between departments, attributing the Cost against a department and the flexibility to show an internal profit, if required.
 
'''Move stock internally between departments, attributing the Cost against a department and the flexibility to show an internal profit, if required.
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===System Goals for the movement of stock===
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=== System Goals for the movement of stock ===
  
*Reduced the stock quantity when an item is given to a potential customer.
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* Reduce the stock quantity when an item is given to a potential customer.
*Show the cost of this against the Clothing & Merchandising dept.
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* Show the cost of this against the Clothing & Merchandising dept.
 
   
 
   
====Set-up====
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==== Set-up ====
 
   
 
   
*Create a Sales Ledger account called "Internal Promotional Sales" {{DataPrompt|INT001}}
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* Create a Sales Ledger account called "Internal Promotional Sales", e.g. {{DataPrompt|INT001}}.
  
On the {{DataPrompt|Invoiving Tab}}
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On the {{DataPrompt|Invoicing Tab}}
  
*Make the account VAT exempt
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* Make the account VAT exempt.
*Make the Centre Modifier {{DataPrompt|"I"}}, this means...
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* Make the Centre Modifier {{DataPrompt|"I"}}, this means...
  
{{Note|When an invoice is produced onto this account the sales centre stamped onto the invoice, will be the default centre stamped onto the stock code, stock code group or if they're not set; the stock parameters. In this example we shall use centre ''100, Parts Sales Retail'' that assigns to nominal centres ''11100'' ''Parts Sales Retail'' that was stamped onto the stock code.
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{{Note|When an invoice is produced onto this account the sales centre stamped onto the invoice will be the default centre stamped onto the stock code, stock group or if they're not set, the stock parameters. In this example we shall use centre ''100, Parts Sales Retail'' that links to nominal centres ''11100'' ''Parts Sales Retail'' which is stamped on the stock code.
  
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When the month end updates the nominal, the system looks at the centre modifier and if it is set, it then checks the parameters for how to proceed with the update, because the concept of the centre modifier is to add the modifier character to a position on the centre it is to update. So, in this example the system would add the letter ''I'' into the sixth position of the nominal code, therefore updating centre ''11100I'' ''Parts Sales Internal''}}.
  
When the month end updates the nominal, the system looks at the centre modifier and if it is set, it then checks the parameters for how to proceed with the update. Because the concept of the centre modifier is add the modifier character to a position on the centre it is to update. So, in this example the system would add the letter ''I'' into the sixth position of the nominal code, therefore updating centre ''11100I'' ''Parts Sales Internal''}}
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* Set the Internal Flag to ''YES''.
 
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* Create a profit & loss nominal centre, cost of sales, called ''Promotional Costs'' and assign this to the default payment centre.  
*Set the Internal Flag to ''YES''  
 
*Create a profit & loss nominal centre, cost of sales, called ''Promotional Cost of Sales'' and assign this to the default payment centre.  
 
 
   
 
   
     Centre 12200 Promotional Cost of Sales.    
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     Centre 12200I Promotional Costs    
 
   
 
   
*Change the CASH SALES flag to {{DataPrompt|NO}} if you want accounts department to clear the debtor and the end of the month or '''YES''' if you would like the account to be cleared at the point the invoice is created.
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* Set the {{DataPrompt|Cash Sales:}} flag to {{DataValue|Yes}} so that the internal debtor is cleared immediately.  
  
 
On the {{DataPrompt|Group/Analysis Tab}}
 
On the {{DataPrompt|Group/Analysis Tab}}
*Make the account group {{DataPrompt|INT}}
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* Make the account group {{DataPrompt|INT}}
  
 
On the {{DataPrompt|Stock Tab}}
 
On the {{DataPrompt|Stock Tab}}
*Change the Account Pricing to charge at cost.
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* Set the {{DataPrompt|Cost Of Sales}} code to be {{DataValue|12200I}} - Promotional Costs.
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* Change the Account Pricing to charge at zero.
 
{{Note|If you unsure how to set the account pricing, please review the following article
 
{{Note|If you unsure how to set the account pricing, please review the following article
*[[How do I Set Account Pricing for a Customer?]]}}
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* [[How do I Set Account Pricing for a Customer?]]}}
  
 
====The Process====
 
====The Process====
 
   
 
   
*Using Stock Control, Point of Sale, Invoice the item of stock to the customer against sales ledger account {{DataPrompt|INT001}}
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* Using Stock Control, Point of Sale, invoice the item of stock at zero price to the customer against sales ledger account {{DataPrompt|INT001}}
*If the CASH SALES flag is set to NO then the accounts department should clear the debtor as part of their month end procedure.
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* The Payment screen will appear as usual but default the payment type to ''12200I Promotional Costs''.
*If the CASH SALES flag is set to YES, the system will prompt the payment screen as usual but default the payment to ''12200 Promotional Cost of Sales''
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* Click {{Button|Post}} to complete the transaction.
 
   
 
   
 
====Accounting Entries====
 
====Accounting Entries====
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'''Sales Ledger Invoice'''
 
'''Sales Ledger Invoice'''
  CR  11100I    Parts Sales Internal         -100.00
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  CR  11100I    Parts Sales Internal             0.00
  DB  Z994      Debtors                       100.00
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  DB  Z994      Debtors                         0.00
  
 
   
 
   
 
'''Sales Ledger Receipt'''
 
'''Sales Ledger Receipt'''
  CR  Z994      Debtors                       -100.00
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  CR  Z994      Debtors                         0.00
  DB  12200      Promotional Cost of Sales     100.00
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  DB  12200I    Promotional Cost of Sales       0.00
  
 
   
 
   
 
'''Stock Movement'''
 
'''Stock Movement'''
 
  CR  Z922      Stock Value                  -100.00
 
  CR  Z922      Stock Value                  -100.00
  DB  11200I     Parts Sales Internal COS      100.00
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  DB  12200I     Promotional Costs              100.00
  
  
 
        
 
        
'''SALES'''
 
    11100I                          100.00    Parts Sales Internal
 
 
 
  '''COS'''                            ==========
 
  '''COS'''                            ==========
    11200I                        -100.00    Parts COS Internal
 
 
     12200                          -100.00    Promotional Cost of  Sales
 
     12200                          -100.00    Promotional Cost of  Sales
 
                                 ==========
 
                                 ==========
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==SUMMARY==
 
==SUMMARY==
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The above results in a loss on the profit and loss for the promotional costs.
The above results in a loss on the profit and loss for the promotional cost of sale because, Parts Sales Int and Parts COS Int should be contra'd off.
 
 
 
If the nominal codes are coded appropriately (by department) producing management accounts based in excel to show it more effectively, can be achieved.
 
  
 
{{KB_Tags|Accounting}}{{ZN_Accounts}}
 
{{KB_Tags|Accounting}}{{ZN_Accounts}}

Revision as of 09:42, 18 August 2009

Summary

This article shows an example of how to deal with items given away for promotional purposes. It assumes that you can create nominal ledger centre and understand how to invoice stock from Point of Sale.

If you are unsure about how to create nominal centres and invoice stock from Point of Sale, please review these articles.

The Philosophy Behind Catalyst Internal Accounts

Move stock internally between departments, attributing the Cost against a department and the flexibility to show an internal profit, if required.


Details

In this example we are going to give away some promotional stock to the value of £100.00 showing no profit on the internal movement, thus charging the movement at cost.


System Goals for the movement of stock

  • Reduce the stock quantity when an item is given to a potential customer.
  • Show the cost of this against the Clothing & Merchandising dept.

Set-up

  • Create a Sales Ledger account called "Internal Promotional Sales", e.g. "INT001".

On the "Invoicing Tab"

  • Make the account VAT exempt.
  • Make the Centre Modifier ""I"", this means...
When an invoice is produced onto this account the sales centre stamped onto the invoice will be the default centre stamped onto the stock code, stock group or if they're not set, the stock parameters. In this example we shall use centre 100, Parts Sales Retail that links to nominal centres 11100 Parts Sales Retail which is stamped on the stock code. When the month end updates the nominal, the system looks at the centre modifier and if it is set, it then checks the parameters for how to proceed with the update, because the concept of the centre modifier is to add the modifier character to a position on the centre it is to update. So, in this example the system would add the letter I into the sixth position of the nominal code, therefore updating centre 11100I Parts Sales Internal

.

  • Set the Internal Flag to YES.
  • Create a profit & loss nominal centre, cost of sales, called Promotional Costs and assign this to the default payment centre.
   Centre 12200I Promotional Costs    

  • Set the "Cash Sales:" flag to 'Yes' so that the internal debtor is cleared immediately.

On the "Group/Analysis Tab"

  • Make the account group "INT"

On the "Stock Tab"

  • Set the "Cost Of Sales" code to be '12200I' - Promotional Costs.
  • Change the Account Pricing to charge at zero.
If you unsure how to set the account pricing, please review the following article

The Process

  • Using Stock Control, Point of Sale, invoice the item of stock at zero price to the customer against sales ledger account "INT001"
  • The Payment screen will appear as usual but default the payment type to 12200I Promotional Costs.
  • Click [Post] to complete the transaction.

Accounting Entries

Sales Ledger Invoice

CR  11100I     Parts Sales Internal             0.00
DB  Z994       Debtors                          0.00


Sales Ledger Receipt

CR  Z994       Debtors                          0.00
DB  12200I     Promotional Cost of Sales        0.00


Stock Movement

CR  Z922       Stock Value                   -100.00
DB  12200I     Promotional Costs              100.00


COS                            ==========
   12200                          -100.00     Promotional Cost of  Sales
                               ==========
NETT LOSS                         -100.00


SUMMARY

The above results in a loss on the profit and loss for the promotional costs.

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