Defining Facility Product Revenue Accounts
This task defines the income and deferred revenue accounts used in sales
and receipt transactions. Revenue can be distributed across multiple accounts
or companies by percentage of the sales amount. Where multi-company transactions
exist, Personify will create inter-company transactions for the revenue
distribution.
Details
associated with this task should not be defined without input from the
Accounting/Finance department.
To define Revenue accounts:
1. Click
Define Revenue Accounts from the
Define the Product task category.
The Revenue Accounts screen displays, as shown below.
2. Click
Define Accounts.
As of 7.4.2, the Account Chooser screen automatically displays because
a revenue account detail record is required in order to save the revenue
account master record.
3. Select
the appropriate revenue account.
Please
see Defining
Revenue Account Pairs for more information on revenue accounts and
their functionality.
4. The
Begin Date defaults to today's
date. Change this date if necessary.
5. If
necessary, select the End Date
from the drop-down.
6. Select
the Distribution Method Code from
the drop-down.
7. From
the table below, enter the following in the appropriate table cell:
· Percent of the revenue that should
go into this account
· Priority number of the revenue account
· Amt within Priority
8. Click
Save.
Screen Element |
Description |
Define Revenue Account |
Define Accounts |
Button.
When clicked, an Effective Date row is added to the table and
a Revenue account is added to the product. |
Add |
Button.
When clicked, a row is added to the Deferred Revenue Account table.
The Account Chooser opens to search for a Deferred Revenue account. |
Delete |
Button.
When clicked, the highlighted row from the table and the information
entered in the row are deleted. |
Deferred Account |
Table
column. This field is the account that is used for sales transactions.
If no deferred revenue is to be recorded, this should be a standard
revenue account. It is validated against the FGL_Account_Master
table and must be valid for your organization. A warning message
displays if an account is selected that is not for the organization
unit of the product. It may be a liability or revenue account. |
Revenue Account |
Table
column. This field is the offsetting income account. This is the
account that will be used by a revenue recognition process. It
is validated against the FGL_Account_Master table. However, a
warning message will display if an account is selected that is
not for the organization unit of the product. It must be a revenue
account. |
Percent |
Table
column. This field is the percentage of the revenue that should
go to this account. The total percentages of all line items must
equal 100 for the record to be saved (format 000.0000). |
Priority |
Table
column. This field is only enabled when the Distribution Method
is “Priority.” When discounts or other pricing situations result
in a line item not receiving its full amount, the first priority
item will receive its full amount and then the next priority item
in sequence. |
Amt within Priority |
Table
column. This field is only enabled when the Distribution Method
is “Priority.” When populated and when the amount to be distributed
(because of discounts or other pricing) falls lower that the amount
specified with this line item, the amounts will be filled based
on this priority. |
Linked |
Table
column. Select when the product's Revenue Distribution Product
code is not null. Indicates that the line is associated with a
specific component product. |
Effective Date |
Begin Date |
Drop-down.
This field indicates the date on which this distribution will
begin to be used as compared to the order date.
Once an order has been placed
for this product, using the selected revenue account, the Begin
Date cannot be edited.
Each time a change is made to the distribution
accounts, a new start date must be defined for this distribution
so that a history and an audit trail can be maintained. This date
defaults to the “Available From” date from the General Product
Setup screen. |
End Date |
Drop-down.
The end date for the Revenue account. |
Distribution Method Code |
Drop-down.
The value selected in this field automatically updates all detail
records for this effective date. Valid values include:
· Percentage – Will distribute
by percentage of the price only. The Priority and Amount within
Priority columns are disabled. The total amount of the percentage
must equal 100.
· Priority – Enables the Priority
and Amount within Priority columns. When discounts or other pricing
situations result in a line item not receiving its full amount,
the first priority item will receive its full amount and then
the next priority item in sequence. If no amount is specified,
the system will distribute the remaining amount by percentage. |
Auto-Populate Accounts from Components |
Button.
When clicked, the revenue account pairs set for the component
products are automatically added to the product’s revenue accounts.
Since components are free and do not have specific accounts associated
with them, the account associated with the component product displays.
For this button to work, components must be defined for the product. |
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