Maintaining application adjustments
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Sign in as Credit and Collection Specialist.
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Select
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Right-click a company record and select Expense.
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Specify this information:
- Post Date
- Select a Global Ledger posting
date.
- Description
- Provide a description.
- Account
- Specify an account information for the
expense.
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Click OK.
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For pending adjustments, click Select.
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Specify this information:
- Reason Code
- Select the new reason code for the
Application
Adjustment.
- Dispute Code
- Select the new dispute code for the
Application
Adjustment.
- Post Date
- Select a Global Ledger posting
date.
- Description
- optionally, specify a
description.
- Account
- Specify an account information for pending
adjustments.
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Click OK.