Difference between revisions of "Internal reconciliations/en"

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At the reconciliation, one company shall be selected as "Company From" A and the other one as "Counterpart" B. The currency shall be SEK. What company you choose where and what you are in when doing this is irrelevant.
 
At the reconciliation, one company shall be selected as "Company From" A and the other one as "Counterpart" B. The currency shall be SEK. What company you choose where and what you are in when doing this is irrelevant.
   
  +
If you find discrepancies in the list, you can open the row and see details, i.e. invoices that differ etc.
Om det finns differenser i den lista som kommer upp så kan man öppna raden och se detaljer dvs fakturor som diffar mm.
 
   
 
[[Category:Accounting]]
 
[[Category:Accounting]]

Revision as of 16:57, 17 October 2017


Internal reconciliations

Accounting/Reports/Intercompany reconciliations

Internal reconciliations is a tool to check internal dealings. For example, you can see if an invoice from company A has arrived in company B and if the remaining amount is the same. You can also see liabilities and receivables between companies booked on special balance sheet accounts.

You need the following settings before you can get started:

1. Check the parameter "Show in Intercompany reconciliation" on the company in Base registers/General/Companies under the tab Other.
2. Tag clients and suppliers with Counterpart in Base registers/SL/Clients and in Base registers/PL/Suppliersrespectively. Example: Supplier A in companies B and C shall be tagged with Counterpart A.
3. If internal dealings shall be handled, you will have to also mark balance sheet accounts with counterparts.

At the reconciliation, one company shall be selected as "Company From" A and the other one as "Counterpart" B. The currency shall be SEK. What company you choose where and what you are in when doing this is irrelevant.

If you find discrepancies in the list, you can open the row and see details, i.e. invoices that differ etc.