Use the Voucher Adjustment Distribution form to specify how to distribute transactions to multiple G/L accounts.
You can distribute to the G/L accounts, using two methods:
Use the tax fields to record the detailed tax records that are associated with the voucher and appear on the tax reports. Each tax system-tax code-exempt tax code combination should contain one tax distribution record.
The fields on the header and General tab are display only. Their values are extracted from the A/P Vouchers and Adjustments form.
You can make several types of distributions, such as purchase amount, freight, and tax. The system sets the fields when you post them from a PO or from the Generate Distribution option for directly entered vouchers.
Because vouchers may contain a mixture of taxable and non-taxable amounts, you may overwrite the standard tax calculation. To do so, update the Amount fields of tax-related G/L Distribution records. These changes are reflected in the tax fields of the voucher header (which you cannot update directly).
This feature enables you to manually enter tax-only debit and credit memos, as well as the tax for mixed invoices.
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