Receipt Journal Detail Section Accounts Receivable>Receipt Journal

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Overview

 

Distribution of client invoices to G/L accounts and WBS paths occur here.

 

Note: If you are on a new row, F2 duplicates the row from above, otherwise it copies the row you are on to a new line.

 

Journal_Receipt_Detail

Fields

Rev. No. - The number of the revision of the journal entry. The original entry is 1.
G/L Account - The G/L account allowed is determined by the payee type. For instance, when Client is the payee type then an A/R account is allowed.

 

G/L Account Name - Displays the GL Account Name in the detail section.  This is optionally shown through the toolbar under View / Columns.

 

Invoice No. -  Only used when G/L account is either Accounts Payable or Accounts Receivable.

 

Project Path - WBS Path. Only available when payee type is Client and G/L account is Accounts Receivable. Note: You can now enter cash receipts to any level of the WBS

 

Project Name - Displays the Project Name in the detail section.  This is optionally shown through the toolbar under View / Columns.

 

G/L Period - Displays the GL Period in the detail section.  This is optionally shown through the toolbar under View / Columns.

 

Amount - Line item amount.

 

RT - Revenue Type - This allows you to earmark how much of a receipt should be considered a certain revenue type.  This affects revenue allocation in the new Pay When Paid reports.

 

G/L Comments - General Ledger comments. This line item will print on G/L reports in place of comments on transaction header.

 

PM Comments - Project Management Comments. Appears on project management reports and invoices. Available only when payee type is Client and G/L account is Accounts Receivable.