Difference between revisions of "Reconciliations between companies/sv"

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== Reconciliation between companies / Internal reconciliations==
__FORCETOC__
 
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''Accounting/Reports''
   
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In the report Reconciliation between companies under Accounting | Reports, internal transactions are reconciled.
= Avstämning mellan bolag =
 
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It shows whether an invoice sent from company A exists in company B and whether the outstanding amount is the same. Liabilities and receivables between companies that are recorded in special balance sheet accounts, as well as internal sales and internal purchases, are displayed. Internal sales are client invoices excluding VAT, and internal purchases are supplier invoices excluding VAT.
   
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To start using the feature, the following settings need to be made:
''{{pth|Ekonomi|Rapporter/Avstämning mellan bolag}}''
 
   
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#Check the parameter ” Show in Intercompany reconciliation” on the company in System | Base registers | Companies. Open the company, the parameter is in the Other tab.
I Avstämning mellan bolag stämmer man av interna mellanhavanden.
 
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#Mark clients and suppliers with counterparts in Accounting |Backoffice |Base registers, the Sales ledger tab and Accounting |Backoffice |Base registers, the Purchase ledger tab, respectively. For example, supplier A in company B should be marked with counterpart A. The marking of suppliers and clients captures supplier invoices and client invoices as well as internal purchases and internal sales.
Man ser t ex om en faktura som är skickad från bolag A finns i bolag B och om det är samma restbelopp. Man kan också se skulder och fordringar mellan bolag som är bokförda på speciella balanskonton och även internförsäljning och internköp. Internförsäljning är kundfakturor exkl moms och Internköp är leverantörsfakturor exkl moms.
 
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#If other internal receivables and liabilities are to be reconciled (shown as G/L Trade debtors and credi-tors in the report), balance accounts for this need to be marked with counterparts in the chart of ac-counts in the respective company.
   
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When performing the reconciliation, one company is entered as “Company From” A and the other as “Counterpart” B. The currency should be the company's base currency. It does not matter which company is specified where and in which company the report is run.
För att komma igång att använda denna funktion behöver följande inställningar göras:
 
   
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If there are differences in the list that appears, you can open the row and view the details, i.e. invoices that differ.
{|class=mandeflist
 
   
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|Kryssa för {{kryss|Visa i avstämning mellan bolag}} på företaget i {{pth|Basregister/Allmänt/Företag}} under fliken {{flik|Övrigt}}.
 
|-
 
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|Märk upp kunder och leverantörer med motföretag i {{pth|Basregister/Kun/Kunder}} respektive {{pth|Basregister/Lev/Leverantörer}}. Som exempel ska leverantör A i bolag B och C märkas upp med motföretag A. Märkningen på leverantörer och kunder gör att man fångar leverantörsfakturor och kundfakturor samt internköp och internförsäljning.
 
|-
 
!3.
 
|Om övriga interna fordringar och skulder ska stämmas av (visas som BOK Fordringar och skulder i rapporten) så behöver balanskonton för detta märkas upp med motföretag i kontoplanen i respektive bolag.
 
|}
 
 
Vid själva avstämningen fylls ena bolaget i som Perspektivbolag A och det andra som Motföretag B. Valuta ska vara Sek. Det spelar ingen roll vilket bolag som anges var och vilket bolag ni är inne i när ni gör körningen
 
 
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:Manuals]]
 
[[Category:Manuals]]

Revision as of 11:03, 13 February 2026

Reconciliation between companies / Internal reconciliations

Accounting/Reports

In the report Reconciliation between companies under Accounting | Reports, internal transactions are reconciled. It shows whether an invoice sent from company A exists in company B and whether the outstanding amount is the same. Liabilities and receivables between companies that are recorded in special balance sheet accounts, as well as internal sales and internal purchases, are displayed. Internal sales are client invoices excluding VAT, and internal purchases are supplier invoices excluding VAT.

To start using the feature, the following settings need to be made:

  1. Check the parameter ” Show in Intercompany reconciliation” on the company in System | Base registers | Companies. Open the company, the parameter is in the Other tab.
  2. Mark clients and suppliers with counterparts in Accounting |Backoffice |Base registers, the Sales ledger tab and Accounting |Backoffice |Base registers, the Purchase ledger tab, respectively. For example, supplier A in company B should be marked with counterpart A. The marking of suppliers and clients captures supplier invoices and client invoices as well as internal purchases and internal sales.
  3. If other internal receivables and liabilities are to be reconciled (shown as G/L Trade debtors and credi-tors in the report), balance accounts for this need to be marked with counterparts in the chart of ac-counts in the respective company.

When performing the reconciliation, one company is entered as “Company From” A and the other as “Counterpart” B. The currency should be the company's base currency. It does not matter which company is specified where and in which company the report is run.

If there are differences in the list that appears, you can open the row and view the details, i.e. invoices that differ.