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ID | ||||||||
0038380 | ||||||||
Type | Category | Severity | Reproducibility | Date Submitted | Last Update | |||
defect | [Modules] Cash VAT Management | major | always | 2018-04-16 17:16 | 2018-05-28 13:20 | |||
Reporter | maite | View Status | public | |||||
Assigned To | maite | |||||||
Priority | urgent | Resolution | no change required | Fixed in Version | ||||
Status | closed | Fix in branch | Fixed in SCM revision | |||||
Projection | none | ETA | none | Target Version | ||||
OS | Any | Database | Any | Java version | ||||
OS Version | Database version | Ant version | ||||||
Product Version | SCM revision | |||||||
Merge Request Status | ||||||||
Regression date | ||||||||
Regression introduced by commit | ||||||||
Regression level | ||||||||
Review Assigned To | psanjuan | |||||||
Support ticket | 1344 | |||||||
OBNetwork customer | OBPS | |||||||
Regression introduced in release | ||||||||
Summary | 0038380: Bank Revaluation Gain and Bank revaluation Loss accounts used in same Cash VAT Payment entry | |||||||
Description | In case conversion rate differences exists between invoice's date and payment's date it is expected that Bank Revaluation account is used. But only Loss or Gain account should be used, no both of them | |||||||
Steps To Reproduce | 0. Create Price List in MXN currency to be used in purchase flow. Add any product to it 1. Create Tax Rate for "F&B US, Inc." with any Rate and set as "Cash VAT". Access "Accounting" tab and fill Tax Due, Tax Credit, Tax Due transitory and Tax Credit transitory fields 2. Create Conversion Rate between MXN and USD for today's date as "Multiple by rate"=2 3. Create Conversion Rate between MXN and USD for tomorrow's date as "Multiple by rate"=3 4. Register Purchase Invoice for "F&B US, Inc." organization, previous price list and today's date 5. Add line and set previous tax. Process and Post invoice. Realize that proper amount is posted to Tax Credit Transitory account 6. Create Financial Account for "F&B US, Inc." and MXN currency. Go to Payment Method tab and add "Wire Transfer" 7. Create new Payment Out document for "F&B US, Inc.", date= tomorrow, Wire Transfer payment method, previous financial account. Run "Add details" and pay previous invoice. Process and Post payment. Realize that BOTH "Bank Revaluation Gain" and "Bank revaluation Loss" accounts are used when only one should be used | |||||||
Tags | No tags attached. | |||||||
Attached Files | ||||||||
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(0104232) psanjuan (viewer) 2018-05-03 14:01 edited on: 2018-05-03 14:24 |
Reproduce the issue with below data to clarify why there is not an issue here: Product Price is 10.00 MXN. Only 1 unit of the product is purchased. USD Purchase invoice posting is (once converted into USD, at today's conversion rate): 20.00 USD (10.00 MXN *2) Product Expense DEBIT 4.20 USD (2.10 MXN *2) Tax Transitory DEBIT 24.20 USD (12.10 MXN *2) Accounts payables CREDIT The organization will have to pay to the vendor 20.00 USD at today's conversion rate. At the day of the payment the conversion rate is not 2 but 3, so there is a loss as we need to pay more USD for the same amount of MXN. Same way there is a difference between transitory tax amount and the actual tax amount that will be deducted, so there is a gain here. USD Posting is like the one shown below: 24.20 USD (12.10 MXN *2) Accounts payables DEBIT 6.30 USD (2.10 MXN *3) Actual Tax Expense DEBIT 12.10 USD (12.10 MXN *3 - 12.10 MXN *2) Bank revaluation loss DEBIT 36.30 USD (12.10 MXN *3) Checking account (actual amount paid in USD) CREDIT 4.20 USD (2.10 MXN *2) Tax Transitory CREDIT 2.10 USD (2.10 MXN *3 - 2.10 MXN *2) Bank revaluation gain CREDIT |
(0104279) dmiguelez (viewer) 2018-05-04 12:09 |
Waiting for the Partner's answer |
(0104746) maite (viewer) 2018-05-28 13:20 |
No change required as obtained entry is the expected one based on previous note's explanation |
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Date Modified | Username | Field | Change |
2018-04-16 17:16 | maite | New Issue | |
2018-04-16 17:16 | maite | Assigned To | => Triage Finance |
2018-04-16 17:16 | maite | Resolution time | => 1525644000 |
2018-04-16 17:16 | maite | Support ticket | => 1344 |
2018-04-16 17:16 | maite | OBNetwork customer | => Yes |
2018-04-16 17:17 | maite | Issue Monitored: networkb | |
2018-04-20 11:20 | dmiguelez | Assigned To | Triage Finance => collazoandy4 |
2018-04-25 10:07 | dmiguelez | Assigned To | collazoandy4 => AtulOpenbravo |
2018-05-02 20:37 | AtulOpenbravo | Status | new => scheduled |
2018-05-03 14:01 | psanjuan | Note Added: 0104232 | |
2018-05-03 14:05 | psanjuan | Note Edited: 0104232 | View Revisions |
2018-05-03 14:23 | psanjuan | Note Edited: 0104232 | View Revisions |
2018-05-03 14:24 | psanjuan | Note Edited: 0104232 | View Revisions |
2018-05-04 12:09 | dmiguelez | Note Added: 0104279 | |
2018-05-04 12:09 | dmiguelez | Status | scheduled => feedback |
2018-05-04 13:38 | dmiguelez | Assigned To | AtulOpenbravo => maite |
2018-05-28 13:20 | maite | Review Assigned To | => psanjuan |
2018-05-28 13:20 | maite | Note Added: 0104746 | |
2018-05-28 13:20 | maite | Status | feedback => closed |
2018-05-28 13:20 | maite | Resolution | open => no change required |
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