Creating journal entries for assets
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Select .
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On the Unreleased tab, open an asset record.
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On the Journal
Entries tab, click Create.
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Specify this information:
- Company
- Select a company number.
- Asset
- Select an asset number.
- Book
- Select a book name.
- Transaction Date
- Select the date of the journal entry
transaction. This date is used for posting transactions to Global Ledger.
- Asset Account Type
- Select an asset account
type.
- Account
- Select the account information for the
distribution.
- Transaction Amount
- Specify an amount of the asset transaction
in the currency of the transaction.
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Click Save.