Translations:Monthly closing reconciliation/88/en
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Contents
Monthly closing
Bookkeeping
- Update periodical allocations in Accounting | Backoffice | Periodical allocations, the Update periodical allocations tab.
- Print the Reconciliation periodical allocations in Accounting | Reports, General ledger tab and compare with the balance on the account for periodical allocations. Read further under Reconciliation Periodical allocations.
- Print VAT declaration under Accounting | Reports, General ledger tab. See separate chapter about VAT reconciliation.
Sales ledger
- Check balances on the Trade debtor's accounts and compare with balance report in Accounting | Reports, Sales ledger tab. Read more under Reconciliation Sales ledger.
- Print Payment reminders in Accounting | Client invoices, Reminders tab. Reminders for single invoices is easily made in the Queries tab. Search the invoice and press the Payment reminders button.
- Interest invoicing is made in Accounting | Client invoices, Interest invoices tab.
Purchase ledger
- Check balances on the Trade creditor’s accounts and compare with balance report in Accounting | Reports, Purchase ledger tab. Read more under Reconciliation Purchase ledger.
Project accounting
- Check that everybody has reported their hours Use the report Reconciliation time.
- Register project related costs, book supplier invoices and expense reports.
- Update hours and purchases in Projects | Backoffice | Transactions, Update WIP tab. Adjust and invoice. Close finished projects.
- Zero invoice in Projects | Invoicing, Zero invoicing tab (especially if you use balance sheet account for project purchases).
- Print out WIP list accounting period in Projects | Reports and compare un-deducted pre-invoice (read more in chapter Reconciliation Pre-invoice) and purchase price WIP for purchases with the WIP account for purchases (if it is in use, read more in Reconciliation WIP account purchases).
- Compare invoiced in the project accounting with the revenue accounts in the bookkeeping that are used in the invoicing. Read more in Reconciliation Invoiced.
- Print project reports in Projects | Reports
Reconciliation
Periodical allocations
Reconciliation:
- Update periodical allocations in Accounting | Backoffice | Periodical allocations, tab Update periodical allocations.
- Reconcile the allocations in Accounting | Reports, General ledger tab. The report is called Reconciliation Periodical allocations. Make a selection of the future allocations that are booked to the last date in that period.
- Example: Period 010725-blank and Accounting date blank -300625. Tick in Print out updated. Compare the amount of the list with the account for automatic periodical allocations. You can see its balance in e.g. Accounting | Queries, Accounts tab or in Accounting | Reports, General ledger tab.