Using transaction typesYou enter transactions based on transaction types. The transaction types are grouped by transaction category. Transaction types control the following:
You can define transaction types in the Transaction Types (tfgld0511m000) session. The History Update Mode field defines when LN must update the general ledger history. The Transaction Category field defines the category to which the transaction type belongs. After you define transaction types in the Transaction Types (tfgld0511m000) session, start the Transaction Entry Defaults (tfgld0131m000) session to define the financial companies and transaction types for which the selected user can enter transactions. You can also define a default batch description. The document numbers of transactions are kept together by transaction type. A document number can be used only once in combination with one transaction type. Within a transaction type and a document number you can enter transaction lines. In this way you can see that, for example, a ledger transaction and an open invoice are related. To define which sessions are used to create a transaction, use the Main Session field and the Next Session field in the Transaction Types (tfgld0511m000) session. Financials is supplied with a session for every type of transaction. However, you can copy an existing standard session to another session (in Tools), adjust its design and link your customized session to the transaction type. Depending on the value entered in the Transaction Category field, you can select these standard sessions: Journal Vouchers
Sales Invoices and Sales Credit Notes
Sales Corrections For corrections on invoices:
For linking credit notes to several sales invoices:
For indicating that an invoice is doubtful or no longer doubtful:
Purchase Invoices and Purchase Credit Notes For purchase invoice types Cost Invoice and Invoice Related to Purchase Orders:
Purchase Corrections For corrections on purchase invoices:
For linking credit notes to several purchase invoices:
Opening Balances
Cash For cash transactions and bank transactions (multiline):
For cash transactions and bank transactions (individual):
For anticipated payments:
For anticipated receipts:
To change the status of anticipated payments:
To change the status of anticipated receipts:
To assign unallocated payments or advance payments to purchase invoices:
To assign unallocated receipts or advance receipts to sales invoices:
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