Enter Multi Company Manual Voucher
Explanation
Use this activity to enter a multicompany manual voucher.
A multi company manual voucher is created in one company, i.e., a home company, and
contains voucher rows belonging to the home company and to other company/companies in the
same legal entity. Each voucher can be processed individually within the particular
company it resides. The voucher types belonging to the function group M, Manual Vouchers,
are used for multi company manual vouchers in the home company. The voucher types
belonging to the function group D, Multi Company Vouchers, are used for multi company
manual vouchers in the other company/companies.
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.
Prerequisites
Before entering a Multi-Company voucher, the following must have been completed:
- The home company and the other company/companies must exist
in the same database.
- The user must have the permission to enter a voucher within the function group M, Manual
Vouchers, in the home company. The user group to which the user belongs is linked to a
voucher type via Accounting Rules/User Data/Voucher Series per Voucher Type, the
User Group per Voucher Series operation.
- The user must have the permission to enter a voucher within the function group D, Multi
Company Voucher, in the other company/companies.
- The code parts must have been defined in the home company
and the other company/companies. 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. The code parts are defined in
Define
Code String.
- The code part requirements must have been entered in
Account Types for the home company
and the other company/companies.
- The legal combinations of code parts, i.e., the combination
rules, must have been entered for the user group that the user belongs to. The combination
rules must have been entered in the companies that the user wants to enter voucher rows
in. The combination rules are entered in
Combination
Rules.
- The account information must have been entered in
Account for the home company and the other
company/companies.
- Information on the code parts B-J must have been entered in
Accounting Rules/Code String/Code Parts for the home company and
the other company/companies.
- Information on the account groups must have
been entered in Account Groups for the home company
and the other company/companies.
- Information on the period calendars and voucher types must
have been entered in
Accounting Periods
or Voucher Type for the home company and the other
company/companies.
- 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 for the home company and the other
company/companies.
System Effects
As a result of this activity a voucher is created and placed in the hold table of the
home company. Furthermore, a voucher is created and placed in the hold table of the other
company/companies. The voucher that is created in the other company/companies belong to
function group D, Multi Company Voucher. The vouchers that are placed in the various hold
tables have the Awaiting Approval, Approved or Not Approved status. Before these vouchers can be updated to the general
ledger the voucher status must be changed to Approved. This can be done
by a user who has the authorization to approve vouchers. The vouchers can be
approved in
Voucher Entry in the respective company.
Window
Multi-Company Voucher Entry
Related Window Descriptions
Multi-Company Voucher Entry
Procedure
Use the following procedure to enter a multi
company manual voucher:
- Open the Multi-Company Voucher Entry window.
The window contains two tabs:
MC Voucher Rows and
Header Details.
Design your own screen layout in the
MC Voucher Rows 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 dialog box to design your screen layout.
- Create a new record when the cursor is in the voucher
header. Default values for voucher date and voucher type are displayed. Change these
values if necessary.
- Click the MC Voucher Rows
tab, then create a new record to enter a new voucher row. Use the List of Values in the
Voucher Company field and
select a company identity, if appropriate. 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
automatically displayed in either the Debit Amount and Amount fields or in the
Credit
Amount and Amount fields. 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.
- Enter at least two voucher rows per company (at least one
debit and one credit amount). The cursor must be on the voucher row
before you can create a new record to create a new voucher row. The voucher rows for each company must be in balance.
- Save the information. The voucher in the home company and
the voucher in the other company/companies will have
Awaiting Approval/Approved status and are stored in
the hold tables of the respective company. The voucher in the other company/companies
belong to the function group D, Multi Company Vouchers.
- Open the
Voucher Entry
window in
the respective company. Find the voucher and change the voucher status to
Approved or Not Approved, as
appropriate. This
can be performed by a user who has the authorization to approve vouchers.
If the voucher status is changed to Not Approved,
the
Notes window will appear. Enter the reason for not
approving the voucher.
- Update the Approved vouchers to the general ledger in the respective
company. This can be done either via the Instant Update General Ledger operation in
Accounting Rules/Voucher/Voucher Entry or via General
Ledger/Update Voucher/Start Updating Routine.