Defining an allocation
- Access Allocation Detail (SL10.1)
- Select New Allocation to access Define Allocation (SL10.2).
-
On the Main page, define the user analysis group,
allocation, and allocation group. Consider these fields on
the main tab:
- User Analysis Group
-
This is the allocation user analysis group related to the allocation user analysis.
- Allocation
-
This is the user-defined allocation name.
- Description
-
This is the allocation name description. This description will display as default to each allocation line description if the line description is left blank.
- Allocation Group
-
This is the allocation group.
- Company
-
This is the allocation company. The source totals Acct Unit List may consist of multiple companies but the allocation is for a single company and will pull information for that company only.
- Auto Zero Percent
-
This field determines if the system zeroes out the fixed allocation percentage field after you transfer allocations to the Strategic Ledger system. The default percent is 100%.
-
Click the Journal Entry tab to define the start and ending periods that
you will create the transactions, and which periods you want them processed. Consider
these fields:
- Journal Entry
-
This is the journal entry number assigned to the allocation. This becomes the journal number for the allocation journal.
- Source Code
-
This is the source code that is assigned to each allocation transaction. The default setting is SE.
- Reference
-
This is the user-defined field used to track transactions.
- Start Period, Year
-
This is the valid beginning period and year of the allocation.
- End Period, Year
-
This is the valid ending period and year of the allocation.
- Posting Day
-
This is the day you want to post the transactions. If this field is blank, then the current period end date for the allocation company is set as default.
-
Click the Attributes tab to assign up to three transaction
attribute values in the allocation. Consider these fields:
- Source Code
-
A source code is a two character code that identifies where transactions are created within a system. The source code SE is set as default.
This is used as default from the Journal Entry tab. If a source code is entered here, then the Journal Entry Source Code value is populated with the same value.
- Apply To
-
This field provides the options to apply the transaction attribute values to the From side, To side, or both sides of the allocation.
- Attribute Value
-
Specify or select up to three transaction attribute values that you will include in the allocation.
- Select the Add form action to add the allocation record. The system will return you to the original Allocation form, Allocation Detail (SL10.1).