Creating a payment schedule
After you add the lease, you must create a payment schedule. You cannot run a FAS 13 test on the lease if a payment schedule does not exist.
- Select Payment Schedule (LM30.1).
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Specify this information:
- Company
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Select the name of the lessor company. If you click Payment Schedule from LM21.1, then the field from LM21.1 is set as the default.
- Lease
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Select the lease name. If you click Payment Schedule from LM21.1, then the field from LM21.1 is set as the default.
- Payment Vendor
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Select the Accounts Payable vendor that is associated with the lease invoice.
- Straight Line
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Select Y to indicate that the payment schedule must be recorded on a straight-line basis.
Note: If the straight-line flag is selected, when a payment schedule is added or changed, then all of the payments that do not have an non-lease component are added together. The total is divided by the total number of payments to derive the straight-line amount. - Payment Number
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If you do not use a recurring payment schedule for this lease, then you must select at least one payment number. To include a principal and interest lease cost and an non-lease component payment in the same payment, assign the same payment number to them.
- Non-Lease Component
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If this payment line is for a non-lease component payment, then select one of the non-lease components you have assigned to the lease on the Components tab of LM21.1.
- Authority Code
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Select the authority code of the person responsible for releasing the lease invoice for payment. Lease payments must be approved before the invoices that are associated with them are released.
- Due Date
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Select the due date for the payment.
- Payment Amount
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Specify the lease payment amount.
- Compute
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Select a compute name to calculate the payment amount.
Note: If you do not specify a payment amount, then this field is required. If you define both a payment amount and a compute name, then the scheduled payment is the sum of both the payment amount and the amount derived from the compute name.
- Click More to define parameters for the Compute statement on LM30.1. Use this form only if you select a compute name for a payment line on Payment Schedule (LM30.1) or Recurring Payment (LM31.2).
- Click Miscellaneous.
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Specify this information:
- Process Level
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Select a process level. Process levels are used when processing the leased invoice in Accounts Payable.
- Accrual Code
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Select an accrual code.
- Handling Code
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Select a handling code for the payment.
- AP Vendor Location
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Select a code that represents a vendor's remittance address.
- Straight Line Amount Override
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Specify a straight-line amount override value. You must unrelease the lease to change the calculated straight-line amount.
- Click OK.
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Click Recurring and define one or more recurring
payments for those payments that are identical.
Note: You can change non-lease component lines on a payment schedule at any time, even after the lease is released. But you cannot change payments that were already processed.
- Verify the accuracy of the payment schedule using Payment Schedule Listing (LM230).