Enter Single Company Manual Voucher
Explanation
This activity is used to enter different types of manual
vouchers. You can modify manual vouchers that have not yet been updated and correct manual
vouchers that were error-marked by the updating routine in IFS/General Ledger.
The voucher types belonging to the
following function groups can be used for manual vouchers:
- K, Corrections
- M, Manual vouchers
- Q, Opening balances
The voucher types can be displayed
via List of Values when the cursor is placed in the Voucher Type field.
If the
Voucher Row Group Validation check box
is selected in the
Voucher Type window for the used voucher type, voucher
rows with the same row group ID must have a one-to-one or one-to-many
debit/credit relation. In order
to save a voucher of a voucher type for which the
Voucher Row Group Validation check box
is selected, the debit balance and the credit balance must be the same within
each row group ID.
A manual voucher can be modified as long as it is placed
in the hold table, i.e., it has not been updated to the general ledger.
All information on manually-entered voucher rows having
transaction code MANUAL can be changed but voucher rows created by posting control cannot
be changed. It is also possible to add accrual (Period
Allocation) information to rows that were manually created.
Prerequisites
Before entering a manual voucher, the following must have been completed in
IFS/Accounting Rules:
- The code parts must have been decided. The code parts used
depend on the accounting level for follow-up and whether code parts functions are used,
for example project accounting or currency balance accounting. Select
Define
Code String to define the parts of the code string and code part functions,
if appropriate.
- The code part requirements must have been entered in
Account Types window.
- The account information must have been entered
in Account window.
- Information on the code parts B-J must have
been entered in
Code Part
values.
- Information on the account groups must have
been entered in Account Groups.
- The legal combinations of code parts must have been entered
for the user group
Combination Rules.
- Information on the period calendars and voucher types must
have been entered in
Accounting Periods
or Voucher Type.
- Users must belong to user groups with authorization
level Enter Only or Enter and Approve.
- Information on the currency codes and currency rates must
have been entered in Currency Codes
and Currency Rates.
System Effects
As a result of this activity a manual voucher is created and placed in the hold table.
Window
Voucher Entry
Related Window Descriptions
Voucher Entry
Procedure
Use the following procedure to enter a manual
voucher:
- Open the
Voucher Entry window. The window contains
four tabs: Voucher Postings, View Voucher Rows,
Header
Details and
Voucher Approval. Design your own screen layout in the
Voucher Postings tab to expedite your work even further. For example, choose the columns to be
displayed via Properties (the right mouse button) when the cursor is placed on the voucher
row. Use the options in the Object Properties box to design your screen layout.
- Create a new record in the
header area. Default values for voucher date, voucher type, and voucher status are displayed.
Change these values if appropriate. Add information for the voucher header, for example an
identity for text rows that are to be displayed for each voucher row.
- Select the
Voucher
Postings tab,
then
create a new record to enter a new voucher row. Specify the code string information for the voucher
row. Amounts are normally entered in the company’s
accounting (base) currency, which is defaulted to the
Currency Code field, but the
currency can be changed.
Use one of the following fields for entering the amount:
Debit
Currency Amount, Credit Currency Amount, or Currency Amount. In the Currency Amount field,
a credit amount is entered preceded by a minus sign (-). The amount is then displayed in
either the Debit Amount and Amount fields or in the Credit Amount and
Amount fields. If a
parallel accounting currency is used in the company, then the amount is also displayed in
Debit Amount (Currency Code) and Amount (Currency Code) fields or in
Credit Amount
(Currency Code) and Amount (Currency Code) fields.
- Enter the rows for the voucher. The
cursor must be on the voucher row before you create a new record to create a new
voucher row.
- If you want the voucher row you entered to be added
as a pseudo code, so it can be used again when required, select the record,
right click and then click Add Pseudo Code.
- Finally, save the information. If the Optional Auto Balance
box is checked for the function group M, Manual Vouchers, in
Voucher
Type window, then the system calculates the amount for the last voucher row. This
means that the user does not need to enter the amount manually. To be able to use the
Automatic Voucher Balance functionality, all the voucher rows must have the same currency.
Also the currency code in the voucher header must be the same as on the rows. Vouchers are
stored in a hold table to be approved before being updated to the general ledger. You can modify the voucher as
long as it remains in the hold table.