Preparing a Bank Reconciliation Using Transfer VAT
This topic describes how to reconcile invoice and
voucher payments when the Transfer VAT option is selected on the
General tab of the Tax
Systems form.
Transfer VAT enables VAT
recognition upon bank reconciliation.
For more information on performing a bank reconciliation, see Bank Reconciliations
and Preparing
a Bank Reconciliation.
To reconcile A/P checks with Transfer VAT selected:
- Open the Bank
Reconciliations form.
- Select the appropriate Bank
Code.
- Specify these values in these fields:
- Type - Must be Check.
- Transaction - Enter the individual
check number.
- Ref Type - Must be A/P.
- Ref Num - Select the appropriate
vendor number.
- After you are finished entering or updating transactions, click
Balance Compute.
- When finished reconciling, select Actions > Save.
To reconcile A/R deposits with Transfer VAT selected:
- Open the Bank
Reconciliations form.
- Select the appropriate Bank
Code.
- Specify these values in these fields:
- Type - Must be Deposits.
- Transaction - Enter the deposit
number.
- Ref Type - Must be A/R.
- Ref Num - Select the appropriate
customer number. For summary bank reconciliation entries, this
value is set to 0 by default.
- After you are finished entering or updating transactions, click
Balance Compute.
- When finished reconciling, select Actions > Save.
Related Topics
Bank Reconciliations
Preparing
a Bank Reconciliation
Transfer
VAT, Tax Systems