Batch allocation is used for matching the bills, to check if there is any conflict.
Fields & its description:
Transaction type refers to the financial nature of the voucher.
The document number and reference number is set automatically unless specified otherwise. These are for reference purposes.
There are also save template and load template buttons. After creating a voucher, you can save this as a template so that similar vouchers can be created quickly. This is possible by clicking on the load template button.
Enter the date for which this voucher is applicable. The initial date along with its validity date should be specified.
Check the reverse field if modification is not allowed.
Choose either Debit or Credit to indicate the type.
Select the OU unit of your company for which this transaction has taken place.
Enter the account code or name which is the target account of this transaction.
Select the currency used for the transaction.
Type the conversion factor for the currency you have selected in this field.
Enter the base amount in this field.
Debit is Conv. factor*Amount and this value is calculated automatically. This field is active only when "D" is selected in the first field.
Credit is Conv. factor*Amount and this value is calculated automatically. This field is active only when "C" is selected in the first field.
Revision Differences
There are no differences between the September 4, 2015 @ 12:26:40 revision and the current revision. (Maybe only post meta information was changed.)