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Summary 0027078: Remittance module does not properly manage temporary Cash VAT posting into fnal VAT posting.
Revision 2014-10-01 16:32 by psanjuan
Steps To Reproduce Go to purchase invoice and create a new invoice for a vendor who has a remittance type payment method, such as "Cuaderno 34".
This vendor has also to be a CASH VAT vendor.

Complete and post the invoice. Posting will look like: (Spanish/ EUR General Ledger)

Debit: (60000) Compras 3750
Debit: (47200T) IVA soportado Temporal 650
Credit: (40000) Proveedores 4400

Let's say that invoice due date is 31-10-2014

Go to Remittance window and create a new remittance. Enter below data:

Remittance Type: Cuaderno 34
Expected date: 31-10-2014
Name: Payment remittance
Press "Select Orders or Invoices".

In this new window select the INVOICE previously created Press Process.
Realize that the tab Lines includes now the invoice to be paid through the remittance.

Press Process and then post.

Posting will look like:
Debit: (40000) Proveedores 4400
Credit: (40100) Proveedores efectos comerciales a pagar 4400

Go to Settle/Protest Remittances window and select the remittance previously created in the field Remittance.

Press search. Remittance is shown.

Enter 15-11-2014 as "Accounting Date" and press Settle.

Go to Remittance window, "Settled" tab and post the settled remittance.

Posting would look like:

Debit: (40100) Proveedores efectos comeciales a pagar 4400
Credit: (57200) Bancos 4400






Revision 2014-10-01 16:22 by psanjuan
Steps To Reproduce Go to purchase invoice and create a new invoice for a vendor who has a remittance type payment method, such as "Cuaderno 34".
This vendor has also to be a CASH VAT vendor.

Complete and post the invoice. Posting will look like: (Spanish/ EUR General Ledger)
Debit: (60000) Compras 3750
Debit: (47200T) IVA soportado Temporal 650
Credit: (40000) Proveedors 4400
Let's say that invoice due date is 31-10-2014

Go to Remittance window and create a new remittance. Enter below data:
Remittance Type: Cuaderno 34
Expected date: 31-10-2014
Name: Payment remittance
Press "Select Orders or Invoices".
In this new window select the INVOICE previously created Press Process.
Realize that the tab Lines includes now the invoice to be paid through the remittance.

Press Process and then post.
Posting will look like:
Debit: (40000) Proveedores 4400
Credit: (40100) Proveedores efectos comerciales a pagar 4400

Go to Settle/Protest Remittances window and select the remittance previously created in the field Remittance.
Press search. Remittance is shown.

Enter 15-11-2014 as "Accounting Date" and press Settle.

Go to Remittance window, "Settled" tab and post the settled remittance.
Posting would look like:

Debit: (40100) Proveedores efectos comeciales a pagar 4400
Credit: (57200) Bancos 4400






Revision 2014-10-01 15:52 by psanjuan
Steps To Reproduce Go to purchase invoice and create a new invoice for a vendor who has a remittance type payment method, for instance "Cuaderno 34".
This vendor has also to be a CASH VAT vendor.

Complete and post the invoice. Posting will look like: (Spanish/ EUR General Ledger)
Debit: (60000) Compras 3750
Debit: (47200T) IVA soportado Temporal 650
Credit: (40000) Proveedors 4400
Let's say that invoice due date is 31-10-2014

Go to Remittance window and create a new remittance. Enter below data:
Remittance Type: Cuaderno 34
Expected date: 31-10-2014
Name: Payment remittance
Press "Select Orders or Invoices".
In this new window select the invoice previously created Press Process.
Realize that the tab Lines includes now the invoice to be paid through the remittance.

Press Process and then post.
Posting will look like:
Debit: (40000) Proveedores 4400
Credit: (40100) Proveedores efectos comerciales a pagar 4400

Go to Settle/Protest Remittances window and select the remittance previously created in the field Remittance.
Press search. Remittance is shown.

Enter 15-11-2014 as "Accounting Date" and press Settle.

Go to Remittance window, "Settled" tab and post the settled remittance.
Posting would look like:

Debit: (40100) Proveedores efectos comeciales a pagar 4400
Credit: (57200) Bancos 4400






Revision 2014-10-01 15:38 by psanjuan
Steps To Reproduce Go to purchase invoice and create a new invoice for a vendor who has a remittance type payment method. This vendor has also to be a CASH VAT vendor.

Complete and post the invoice. Posting will look like:
Debit: Expense account 3750
Debit: Purchase Cast VAT temporary account 650
Credit: Account Payables account 4400

Go to Remittance window and create a new remittance.

Revision 2014-10-01 15:30 by psanjuan
Steps To Reproduce Go to
Revision 2014-09-30 09:00 by psanjuan
Steps To Reproduce to be included


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