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When transferring customers from external systems, you can use this table to enter vendor invoices individually or collectively. These values are taken into account in the account list (OPOS list) so that debt transfers are mapped correctly.
Accounts payable - opening balance
All information on the vendor opening balance is stored in this info area. Once all relevant information has been entered, the opening balance is automatically calculated and displayed.| Property | Description |
| G/L account | Selection of the G/L account via which the vendor opening balance is settled. |
| client | Selection of the client for which the vendor opening balance is entered. |
| creditor | Selection of the creditor. |
| Month (YYYY-MM) | Selection of the month for which the vendor opening balance applies. |
| Invoice no. | Enter the number of the invoice that created the vendor opening balance. |
| Booking text | Entry of the posting text for the posting of the vendor opening balance. |
| Target start [€] | Enter the initial debit balance of the creditor. |
| Have start [€] | Enter the actual initial credit balance of the creditor. |
Payment allocations
Payment allocationsSee also: Payment allocations
Rebookings
RebookingsSee also: Rebookings