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  1. In the navigation pane, double-click Relationships then Customer Transactions.
  2. Click Debits.
  3. Click New. The New Customer Debits window displays.

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  4. Enter header details for the debit:
    • Select the customer who the debit is for.
    • Enter a description that best describes the debit.
    • The date is automatically set to today's date, but you can change it if you need to.
  5. Click down to under the Line Items tab.
  6. Enter line information:
    • For the Account Site, select the correct General Ledger Account.
    • The description will populate from the description entered at the header level. If you wish to have a different description on the line level you can override the existing one.
    • Enter either the valueex or the valueinc and the tax code.
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  7. If you want to add a note for the deibt, click Note in the ribbon.
  8. When you have finished, you have three options.
    • Click Finalise to finalise the debit without allocating it.
    • Click Finalise and Allocate to finalise the debit and allocate it against an invoice.
    • Click Finalise and New to finalise the debit without allocating it, and start another transaction.

 

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