Page tree

Versions Compared

Key

  • This line was added.
  • This line was removed.
  • Formatting was changed.
HTML Wrap
classsection group
HTML Wrap
classcol span_3_of_5

Not available in AccountRight Basics

You can settle Once you have created a supplier debit, you can settle it in one of two ways:

  • Apply the debit to an unpaid purchase. Use this method to apply the supplier debit to one or more of your unpaid purchases from the supplier, or
  • Receive a refund. Use this method to record the receipt of a refund cheque from the supplier.

UI Expand
titleTo apply a supplier debit to an unpaid purchase
  1. Anchor
    1089058
    1089058
    Go to the Purchases command centre and click Purchases Register. The Purchases Register window appears.
  2. Click the Returns & Debits tab.
  3. Locate and select the debit you want to apply and click Apply to Purchase. The Settle Returns & Debits window appears, listing all open purchases that you have made from the supplier.
  4. Type the amount you want to apply to a purchase in the Amount Applied column.
    If the Apply Supplier Payments Automatically to Oldest Purchase First preference is selected in the Preferences window (Purchases view), amounts will appear next to the oldest purchase in the Amount Applied column. However, you can apply the debit amount to one transaction or you can split it over any of the transactions in the list.
    Remember that the total amount you apply in the Amount Applied column must equal the amount that appears in the Debit Amount field.
  5. If you want to apply part of the supplier debit to unpaid finance charges you may have accrued, enter an amount in the Finance Charge field.
  6. Click Record to apply the supplier debit.
    If the transaction is unbalanced, that is, if the total amount entered in the Amount Applied column doesn’t equal the amount displayed in the Debit Amount field at the top of the window, a message appears. Click OK to close the message and then check that the amounts you have applied to the various transactions are correct.
UI Expand
titleTo record a refund cheque
  1. Anchor
    1089075
    1089075
    Go to the Purchases command centre and click Purchases Register. The Purchases Register window appears.
  2. Click the Returns & Debits tab.
  3. Locate and select the debit that is being refunded and click Receive Refund. A refund cheque for the amount of the supplier debit appears in the Settle Returns & Debits window.
  4. Select a payment method in the Payment Method field and click Details. The Applied Payment Details window appears.
  5. Enter the details and click OK.
  6. Click Record to record the refund cheque.
HTML Wrap
width15%
classcol span_1_of_5
        

 

      
HTML Wrap
floatleft
classcol span_1_of_5
Panelbox
namegreen
titleRelated topics
HTML Wrap
classsidebarlinks

Recording and settling supplier debits

...