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Supplier Debits are purely Expense/Service type transactions that have no affect on physical stock on hand eg a telephone bill, water rates, internet services etc.
If stock is received it should be entered through the Purchase order/Receipting/Invoicing module not through cards as a Supplier Debit. 


Data Tidy ups for Debits and Credits

  1. On each supplier card try and get your account code with the supplier and insert it into cards>settings>supplier settings>supplier Acc Number
  2. On each supplier if the payment tender is always the same please assign it to the supplier card>settings>supplier settings>supplier tender
  3. On each supplier check the payment term supplier card>settings>supplier settings>payment term
  4. On each non stock supplier, apply a general ledger account for whatever the expense maybe . The general ledger account can be changed when inserting a debit/credit note. Supplier card>settings>supplier settings>account

Procedure

  1. Log onto Readysell>relationships>cards
  2. Drop the filter in the top ribbon for 'Current suppliers' or 'all cards'
  3. Search and highlight the supplier
  4. Down arrow on the 'New' action button in the top ribbon and highlight Supplier Debit
  5. Supplier debit window appears
  6. Todays default date will appear, you can change it if need be
  7. Check the cardid on the screen
  8. Enter a decription to best describe the debit
  9. On the Lines detail if you have the General Ledger account assigned to the card, it will draw to the screen. If you dont then search and select an expense account
  10. Enter the value ex or value in and the appropriate tax code
  11. Click on either 'Finalise' or 'Finalise and New'.
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