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Overview

Firstly ensure that the correct system reference is set up to identify whether you are Accrual or Cash Basis GST. 
GST Tax Codes are Linked to the Relevant Bas Codes.
The GST Batch works off all the entries that have flowed through into the GST file. For GST Cash Basis, the GST is taken into account when the GSTCASHBASISDUE date is marked on each Open Item when a Payment has been allocated against any Open Item. For GST Accrual, the GST is taken into account at the time the Open Item Invoices are Finalised.
Once a Batch is Extracted and Posted, the Invoices are stamped with a flag so these open items will not be accounted for in the next GST Batch Run.
First of all Run a GST Detailed Report or go to GST Items and filter correctly before you attempt to Extract a GST BATCH RUN and check the data especially the taxcodes against the transaction types. 

Note

Before running the first GST Batch, ensure that you have a starting position from your old system to stand for the closing position if you wish to balance the GST Items back to the corresponding General Ledger GST Accounts. If you don't then reconcile manually.
With respect to Cash Basis GST, you do not necessarily need a starting position within the gst items table, it is optional, as you cannot balance cash basis gst to an accrual general ledger.

If you do provide Readysell with the breakup.
This will incur a charge


Getting Started

Child pages (Children Display)
pageGetting started with GST batches

Reference

Button

Refer to Common Buttons

ImageFieldDescription
Image Modified
Extract GST BatchExtract outstanding GST items to this GST batch
Image Modified
Post GST BatchPost the Outstanding GST Batch
 
Image Added
NewCreate a New GST Batch
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DeleteDelete an oustanding GST Batch

Fields

FieldDescription
TypeThis is the transaction type for this GST Batches (
GST Batch
GSTBAT)
NumberThe unique number for the transaction of this GST Batch
StatusThe transactions current status
DateThe date and time the
bank deposit was created
GST Batch was Extracted before it is posted.
Start DateThe start date from the parameters used for this GST batch extract
End DateThe end date from the parameters used for this GST batch extract

Summary tab

FieldDescription
Tax Code
This shows the
The tax code for
the GST item
each GST Transaction Type for each Bas Code
Site IDThe site for this GST Batch
Transaction type Code
This is the type of transaction for this line
The transaction type for each Bas Code for each Tax Code
Value Ex Tax
This is the value of the GST Item, excluding tax
The Total $Value Ex Gst for each Transaction Type for each Bas Code
GST Paid ValueThe GST
paid value of the GST item
Paid $Value for each Transaction type for each Bas Code
GST Received Value

The GST

received value of the GST item

Received $value for each Transaction Type for each Bas Code

Value Inc Tax
 
The Total Value Inc Gst for each Transaction Type for each Bas Code
GST Batch Transaction NumberThe transaction number for the GST Batch Extracted

Details tab

FieldDescription
BAS CodeThe BAS Code (E.g: G10 Capital Purchases)
Site IDThe site for this GST Item
Transaction Type CodeThis is the type of transaction for this line
Transaction NumberThe field contains a unique transaction number for the GST batchline
DateThe date and time of the GST batchline
Value Ex TaxThis is the value of the line, excluding tax
Tax CodeThis is the tax code for the line (E.g: GST)
GST Paid ValueThe GST paid value of the GST batchline
GST Received ValueThe GST received value of the GST batchline
Value Inc TaxThe total value, including tax
Product ID
 
The product code for the line
Account ID
 

Cash Basis Due DateThis is the date and time of the cash basis due date

 

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