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Payment allocations

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IC11493

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The "Payment allocations" data object is used for the detailed recording and management of incoming payments in the context of payment transactions. It enables the allocation of payments to specific persons, invoices and buildings as well as the identification of their relevance for the operating cost statement. In addition, information on automatic processing, export to external financial systems and optional costs for maintenance or servicing is recorded. This data object plays a central role in the processes of payment processing, operating cost accounting and financial accounting.


Payment allocation

Information on the identification of the data record is stored in this info area.
PropertyDescription
SocietyDisplay of the company for which the booking was made.
Export AccountingIndicates whether the posting was transferred to the external financial accounting software.
Export throughSpecification of the user who carried out the export to the external financial accounting software.
Billing monthIndication of the month in which the payment is settled (YYYY-MM).
Account bookingSpecification of the booking.
Payment amount [€]Specify the amount of the payment in euros.
Booking textSpecification of the booking text.
Booking record typeHere you can select the booking record type.
Export onSpecifies the date on which the payment was exported to the external financial accounting software (DD.MM.YYYY).
Internal ID (Data ID)The internal ID, or data ID, is used within the application to uniquely identify the data record.

Allocation

In this area you can view information on the assignment. (please select only one object)
PropertyDescription
creditorIndication of the creditor.
debtorSpecification of the debtor.
Incoming invoiceSpecification of the incoming invoice to which the account posting is assigned.
Outgoing invoiceIndication of the outgoing invoice to which the account posting is assigned.
Rental agreementSpecification of the rental agreement to which the account posting is assigned.
G/L account postingIndication of the G/L account to which the account posting is assigned.
cost centerCost center for the assignment to the G/L account
ContractSpecification of the contract to which the account posting is assigned.
Security depositIndication of the deposit to which the account entry is assigned.
Opening balance debtorHere you can see the opening balance of the debtor.
Opening balance creditorHere you can see the opening balance of the creditors.
RebookingThis field allows you to select a transfer for the current payment allocation. A transfer may be necessary if a payment is to be assigned to a different account or purpose than originally intended. The selection directly influences the posting of the payment in the accounting system.

Payment details / G/L accounts

Payment details / G/L accounts

See also: Payment allocation items

Cancellation

Cancellation details can be viewed in this information area.
PropertyDescription
Canceled byIndication of the invoice that caused the booking to be canceled.
Cancellation forSpecification of the invoice that cancels the booking.

Offsetting

In this area, the booking can be offset against another allocation.
PropertyDescription
For OP list allocate with the assignmentSelection of the assignment.

BK Relevance

This group contains characteristics to determine the relevance for accounting. It indicates whether and how a payment allocation should be taken into account in accounting.
PropertyDescription
Value added taxValue added tax
BuildingThis field links the booking to the associated building in the context of the operating cost statement. It enables the precise allocation of incoming payments to specific properties and is essential for the correct recording and management of building-related incoming payments.
Distribution toDistribution to
BK-relevant (yes: Y, no: X)Display whether the payment/allocation is relevant to G/L. This is only possible if it is assigned to a G/L account.
Maintenance or servicingMaintenance or servicing

LogicController

Delete is deactivated if: not exported but canceled, exported and no cancellation/canceled, exported and cancellation or canceled. The system checks whether a reversal document needs to be deleted, in which case the link is deleted for the reversed document and the ticket is then set to step mport again for the incoming invoice so that the job can move the ticket to released.
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