Defining Meeting/Session Product GL Accounts
This task is used to define receivable, pre-paid liability,
write-off, cancellation, and discount transactions as well as the pay
priority of a given product within an order. Also, this task defines tax
categories (e.g. US, GST, and VAT).
Details
associated with this task should not be defined without input from the
Accounting/Finance department.
Once
an order line exists for this product with the same effective date as
the one setup here, with Line Status not equal to 'C', then the GL accounts
for that effective date cannot be changed for this product.
To define the General Ledger accounts:
1. Click
Define GL Accounts from the Define the
Product task category.
The General Ledger Accounts screen displays, as shown below.
2. Click
Define Accounts.
3. Select
the Begin Date from the drop-down.
4. Enter
the Pay Priority.
5. Click
the Receivable Account link
to search for a receivable account.
The Prepayment Liability account populates automatically based on the AR-PPL
account pairs set up in System Setup.
6. Click
the Writeoff Account link to search
for a write-off account.
7. Click
the Cancellation Account link
to search for a cancellation account.
8. Click
the Discount Account link to search
for a discount account.
9. Click
the Deferred Discount link to
search for a deferred discount.
10. Click
the Agency Discount link to search
for an agency discount.
11. Click
the Deferred Agency link to search
for a deferred agency.
12. If
the product uses sales tax, perform the following:
a. From
the Tax/VAT Control, select the Taxable
checkbox.
b. Select
the Tax Category from the drop-down.
13. If
the product uses VAT tax, perform the following:
a. From
the Tax/VAT Control, select the Taxable
checkbox.
b. Select
the VAT Category from the drop-down.
14. If
the product uses both VAT and sales tax, perform the following:
a. From
the Tax/VAT Control, select the Taxable
checkbox.
b. Select
the Tax Category from the drop-down.
c. Select
the VAT Category from the drop-down.
15. If
the product uses VAT tax for every customer purchasing the product, regardless
of the ship-to address, from an EU (European Union) country, perform the
following:
a. From
the Tax/VAT Control, select the Charge
VAT to All Customer checkbox.
b. Select
the VAT Country from the drop-down.
c. Select
the VAT Category from the drop-down.
16. In
the Revenue Recognition section, select the Recognition Method from the drop-down.
17. Select
the Recognition Date from
the drop-down. Note that this field will be disabled unless “On Specific
Date” is chosen from the Recognition Method drop-down.
18. Click
Save.
Screen Element |
Description |
General Ledger Accounts |
Define Accounts |
Button. When clicked, an Effective Date row is added to the
table and another set of General Ledger accounts are added to
the product. |
Effective Date |
Table row. Represents a General Ledger account associated with
the product. The date listed is correlated with the Begin Date
value. |
Delete Account |
Button. When clicked, the highlighted row and the General Ledger
account is deleted from the product. |
Account Detail |
Begin Date |
Drop-down. The start date for the General Ledger account. The
Begin Date of the first set of GL Accounts defined defaults
to the “Available From” date from the General Product Setup screen.
The Begin Date of each additional set added after the first defaults
to today’s date. |
End Date |
Read-only. The end date is automatically populated to one day
before the next Begin Date of the next set of GL accounts. |
Pay Priority |
Text box. Establishes the order by which line items on a
multi-product order are paid. Associations that discount inventoried
prices on items may assign products a preferred priority to ensure
the inventory line item is paid prior to line items from other
subsystems. The lowest priority number is paid first, with zero
being paid before any other.
Additional
system pay priorities may be defined at the system level for the
Inventoried Products subsystem. |
Receivable Account |
Link. When clicked, you can search for the appropriate AR and
prepayment account pairs, as defined on the Organization Unit
Maintenance screen (see Defining
AR and Prepayment Account Pairs). |
Prepayment Liability |
Read-only. Defaults based on the receivable account identified
above. This is the account that is used to store payments prior
to invoicing. |
Writeoff Account |
Link. When clicked, you can search for the appropriate write-off
account. When a write-off of an open balance (including tolerance
write-offs) is created, the transaction is DR Write-off Account,
CR Accounts Receivable. The account must be either an income or
expense account. |
Cancellation Account |
Link. When clicked, you can search for the appropriate cancellation
account. When cancellation fees are charged, this account is used.
It is typically an unearned income account, though it may also
be defined as an expense account. |
Discount Account |
Link. When clicked, you can search for the appropriate discount
account. When a discount is granted for this product, this account
number is used. It reduces the AR number while maintaining the
full revenue account amount. It may be either a revenue or expense
account. |
Deferred Discount |
Link. When clicked, you can search for the appropriate deferred
discount account. When a deferred revenue transaction is created,
this account is used. If no deferred transactions are expected,
this account should be the same as the discount account. |
Agency Discount |
Link. When clicked, you can search for the appropriate agency
discount account. When a discount is granted to the agency for
this product, this account number is used. It reduces the AR number
while maintaining the full revenue account amount. It may be either
a revenue or expense account. |
Deferred Agency |
Link. When clicked, you can search for the appropriate deferred
agency account. When a deferred revenue transaction is created
for an agency, this account is used. If no deferred transactions
are expected, this account should be the same as the agency discount
account. |
Tax/VAT Control |
Taxable |
Checkbox. When checked, indicates the product is taxable for
sales tax. If this is checked and the product uses sales tax,
select the Tax Category. If this is checked and the product uses
VAT tax, select the VAT Category. If this is checked and VAT tax
should be charged for all customer regardless of ship-to address,
select the Charge VAT to All Customer checkbox and select VAT
Country and VAT Category. |
Charge VAT to All Customers |
Checkbox. When checked, indicates the product is taxable for
value-added tax. This checkbox is only enabled if the Taxable
checkbox is selected. If this is checked, select the VAT Country
and VAT Category. |
Tax Category |
Drop-down. Further defines how taxes will be calculated.
This checkbox is only enabled if the Tax/VAT
Control drop-down on the Organization Unit Maintenance screen
is set to B or N and if the Taxable checkbox is selected.
If HST or GST tax is collected
for this product, setup the country and state code in a tax category
that is also used for US state tax on the Sales
Tax Maintenance (ORD199) screen.
The values are populated based on the non-fixed TAX_CATEGORY
system type for the ORD subsystem. |
VAT Country |
Drop-down. The country in which the value-added tax will be
used for this product. This checkbox is only enabled if the Tax/VAT
Control drop-down on the Organization Unit Maintenance screen
is set to B or Y and if the Taxable checkbox is selected. |
VAT Category |
Drop-down. Indicates which type of value-added tax is charged
for this product.
The values are populated based on the non-fixed VAT_CATEGORY
system type for the ORD subsystem. |
Revenue Recognition |
Recognition Method |
Drop-down. Controls how revenue recognition for the order
will be handled. Options include:
· On Invoice: selected by default
for inventoried products.
· On Specific Date: typically
not used for inventoried products.
· At Year End: refers to the fiscal
year end; typically not used for inventoried products.
The values are populated based on the fixed REVENUE_RECOG_METHOD
system type for the MTG subsystem. |
Recognition Date |
Drop-down. Enabled when Recognition Method value is “On Specific
Date.” Indicates the specific date that revenue should be recognized.
After this date, sales transactions will hit the real revenue
account rather than the deferred revenue account. |
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