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= Periodical allocations =
I Marathons bogføring kan du lade systemet håndtere periodiseringer. Denne manual beskriver hvordan du booker periodiseringer i bogføringen eller via leverandørfakturaer, opdatering og afstemning av periodiseringer og hvad du skal gøre, hvis der opstår difference i afstemningen.
 
   
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== Settings ==
= Periodiseringer =
 
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* The account for periodical allocations (accruals) shall be assigned to Periodical Allocation.
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* The account for periodical allocations shall be set in Accounting | Backoffice | Base registers, Purchase ledger tab. Open the Parameter and go to Preliminary entering tab.
  +
* If several allocation accounts are to be used, this can be set up in Accounting | Backoffice | Baser registers, under the Purchase ledger tab. Open Parameters and go to the Preliminary entering tab and tick Allow changes on allocation account. The field for allocation accounts will then be available during registration.
   
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== Allocate supplier’s invoice ==
Sæt en integration på en specifik konto for periodiseringer i kontoplanen i System: Basisregister/BOG/Konti. I eksemplet neden bruger vi konto 1722,
 
  +
* Fill in the cost account and period when posting a supplier invoice. The invoice is then recorded in the periodical allocation account when it is posted.
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* The period can be entered as MMYY- MMYY or DDMMYYYY- DDMMYYYY. For MMYY, the amount is distributed evenly over the months, and for DDMMYYYY, the amount is adjusted according to the number of days in the month.
   
 
{{ExpandImage|BOK-PER-EN-Bild1.png}}
 
{{ExpandImage|BOK-PER-EN-Bild1.png}}
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== Allocation in voucher ==
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* Enter the account for periodical allocation in the voucher, a new tab appears, Allocation.
  +
* Enter cost account and amount and the period that the amount will be allocated over in the Allocation tab.
  +
* The period can be entered as MMYY- MMYY or DDMMYYYY- DDMMYYYY (in yor country's format). For MMYY, the amount is distributed evenly over the months, and for DDMMYYYY, the amount is adjusted according to the number of days in the month.
   
 
{{ExpandImage|BOK-PER-EN-Bild2.png}}
== Bogføring med periodisering ==
 
   
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== Update periodical allocations ==
Hvornår du bogfører en faktura I bilagsregistreringen på en konto, der er integreret med programmet for periodisering, åbnes et nyt faneblade. Åbn fanen og angiv omkostningskonto, sum i alt og periode
 
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* Update the allocations for the current period in Accounting | Backoffice | Periodical allocations, the Update periodical allocations tab.
 
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* Enter current period.
{{ExpandImage|BOK-PER-EN-Bild2.png}}
 
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* The last day in the current period is suggested as Accounting date, but this can be changed.
   
 
{{ExpandImage|BOK-PER-EN-Bild3.png}}
 
{{ExpandImage|BOK-PER-EN-Bild3.png}}
   
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== Edit allocations ==
Omkostningen oven vil fordeles jævnt mellem månederne.
 
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* A periodical allocation that has not been updated can be edited in Accounting | Backoffice | Periodical allocations, tab Edit periodical allocations.
 
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* Select the record and open – or use Batch change if you want to edit several records at the same time.
== Periodiseringer via Leverandørsfakturaer ==
 
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* Here you can change account and period. The amount should not be changed; it would create a discrepancy with the bookkeeping.
 
Registrer fakturaen som vanlig. Opgiv den omkostningskonto og periode, fakturaen drejer sig om. Maraton vil da forstå, at det er en periodisering. Hvis I har mange periodiseringskontoer, vælg én I kolonnen for Konto.
 
   
 
{{ExpandImage|BOK-PER-EN-Bild4.png}}
 
{{ExpandImage|BOK-PER-EN-Bild4.png}}
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== Reconcile allocations==
== Opdatering af periodiseringer ==
 
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* Use the report Reconciliation of periodical allocations in Accounting | Reports.
 
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* Select period ahead of time and accounting date until the last date of the reconciliation period.
Opdatér periodiseringerne for den aktuelle periode I {{pth|Økonomi|Opdater periodiseringer}}. Angiv indeværende periode og ændr evt. regnskabsdato.
 
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* The amount on the list is reconciled with the account for automatic allocations. The balance on the account is shown e.g. in Accounting | Queries, Accounts tab or in Account specification in Accounting | Reports, General ledger tab.
   
 
{{ExpandImage|BOK-PER-EN-Bild5.png}}
 
{{ExpandImage|BOK-PER-EN-Bild5.png}}
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== In case of discrepancy ==
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* Print the report Reconciliation of periodical allocations without period selection. The field Print updated must be unchecked. This will display everything that needs to be updated, allowing any outdated allocations from previous periods to be identified.
   
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* Check the account for periodical allocations in Accounting | Queries, Accounts tab or in Account specification in Accounting | Reports, General ledger tab and check if bookings have been made without assignment code. Look in the Type column.
== Afstemning af periodiseringer ==
 
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[[Category:BOK-PER-EN]]
<div class="mw-translate-fuzzy">
 
Afstemningen foretages i {{pth|Økonomi|Rapporter}}med rapporten Afsteming priodiseringer. Selektér de periodiseringer, der ligger fremover i tiden og som er bogførte frem til den sidste dato I den aktuelle periode.
 
</div>
 
 
{{ExpandImage|BOK-PER-EN-Bild6.png}}
 
 
=== Ved difference ===
 
 
<div class="mw-translate-fuzzy">
 
Hvis difference opstår, begynd med at kigge i {{pth|Økonomi|Rediger periodiseringer}}. Her vises alle uopdaterede periodiseringer og også eventuelle fejl på periodiseringer.
 
</div>
 
 
{{ExpandImage|BOK-PER-EN-Bild7.png}}
 
 
Kontrollér også I bogføringen, at det ikke er sket nogen konteringer uden integration til periodiseringer (dvs. transaktioner på kontoen for periodiseringer, der mangler integrationskode P).
 
 
[[Category:BOK-PER-DA]]
 
 
[[Category:Manuals]]
 
[[Category:Manuals]]
 
[[Category:Accounting]]
 
[[Category:Accounting]]

Latest revision as of 11:02, 19 January 2026

Periodical allocations

Settings

  • The account for periodical allocations (accruals) shall be assigned to Periodical Allocation.
  • The account for periodical allocations shall be set in Accounting | Backoffice | Base registers, Purchase ledger tab. Open the Parameter and go to Preliminary entering tab.
  • If several allocation accounts are to be used, this can be set up in Accounting | Backoffice | Baser registers, under the Purchase ledger tab. Open Parameters and go to the Preliminary entering tab and tick Allow changes on allocation account. The field for allocation accounts will then be available during registration.

Allocate supplier’s invoice

  • Fill in the cost account and period when posting a supplier invoice. The invoice is then recorded in the periodical allocation account when it is posted.
  • The period can be entered as MMYY- MMYY or DDMMYYYY- DDMMYYYY. For MMYY, the amount is distributed evenly over the months, and for DDMMYYYY, the amount is adjusted according to the number of days in the month.

Allocation in voucher

  • Enter the account for periodical allocation in the voucher, a new tab appears, Allocation.
  • Enter cost account and amount and the period that the amount will be allocated over in the Allocation tab.
  • The period can be entered as MMYY- MMYY or DDMMYYYY- DDMMYYYY (in yor country's format). For MMYY, the amount is distributed evenly over the months, and for DDMMYYYY, the amount is adjusted according to the number of days in the month.

Update periodical allocations

  • Update the allocations for the current period in Accounting | Backoffice | Periodical allocations, the Update periodical allocations tab.
  • Enter current period.
  • The last day in the current period is suggested as Accounting date, but this can be changed.

Edit allocations

  • A periodical allocation that has not been updated can be edited in Accounting | Backoffice | Periodical allocations, tab Edit periodical allocations.
  • Select the record and open – or use Batch change if you want to edit several records at the same time.
  • Here you can change account and period. The amount should not be changed; it would create a discrepancy with the bookkeeping.

Reconcile allocations

  • Use the report Reconciliation of periodical allocations in Accounting | Reports.
  • Select period ahead of time and accounting date until the last date of the reconciliation period.
  • The amount on the list is reconciled with the account for automatic allocations. The balance on the account is shown e.g. in Accounting | Queries, Accounts tab or in Account specification in Accounting | Reports, General ledger tab.

In case of discrepancy

  • Print the report Reconciliation of periodical allocations without period selection. The field Print updated must be unchecked. This will display everything that needs to be updated, allowing any outdated allocations from previous periods to be identified.
  • Check the account for periodical allocations in Accounting | Queries, Accounts tab or in Account specification in Accounting | Reports, General ledger tab and check if bookings have been made without assignment code. Look in the Type column.