PANTHEON™ Help

 Toc
 PANTHEON Help - Welcome
[Collapse]PANTHEON
 [Collapse]Guides for PANTHEON
  [Collapse]Guide for PANTHEON
   [Expand]Settings
   [Expand]Orders
   [Expand]Goods
   [Expand]Manufacturing
   [Expand]POS
   [Expand]Service
   [Collapse]Financials
    [Expand]Accounting Basics
    [Expand]Posting
    [Expand]Automatic Posting
    [Expand]Accounting Dashboard
    [Expand]Overview
    [Collapse]Close
     [Expand]Manually
     [Expand]Manually - General Ledger
     [Expand]Re-Post
     [Collapse]Set-offs
      [Collapse]Set-off Document
       [Expand]Set-Off Toolbar
       [Collapse]Set-Off Header
         Status Scheme of Set-off
        [Expand]Posting of Set-off
       [Expand]Items in Set-off
      [Expand]Error Messages in Setoff
       Errors
     [Expand]Prepare Multilateral Set-off
      Multilateral set off - chain set off
     [Expand]Prepayments
     [Expand]Close Rounding Differences and Cash Discounts
     [Expand]Mandatory and Voluntary Multilateral Set-Offs
      Import of Multilateral Set-Off results
    [Expand]Accruals and Deferrals
    [Expand]Credits and Leases
    [Expand]Reports
    [Expand]Special Reports
     Consolidated Financials Statements
    [Expand]Fixed Assets
    [Expand]Transactions
    [Expand]Debt Collection
    [Expand]Reminders
    [Expand]Year-end
    [Expand]Interest
    [Expand]Cash
    [Expand]Archive
     ZEUS Planning
   [Expand]Personnel
   [Expand]Analytics
   [Expand]Desktop
   [Expand]Help
   [Expand]Messages and Warnings
   [Expand]Additional programs
   [Expand]Old products
  [Expand]Guide for PANTHEON Retail
  [Expand]Guide for PANTHEON Vet
  [Expand]Guide for PANTHEON Farming
 [Collapse]User Manuals for PANTHEON
  [Expand]User Manual for PANTHEON
  [Expand]User Manual for PANTHEON Retail
  [Expand]User manual for PANTHEON Vet
  [Expand]User Manual for PANTHEON Farming
[Collapse]PANTHEON Web
 [Collapse]Guides for PANTHEON Web
  [Expand]Guide for PANTHEON Web Light
  [Expand]Guide for PANTHEON Web Terminal
  [Expand]Guide for PANTHEON Web Legal
  [Expand]Old products Archive
 [Collapse]User Manuals for PANTHEON Web
  [Expand]Getting started PANTHEON Web
  [Expand]User Manual for PANTHEON Web Light
  [Expand]User Manual for PANTHEON Web Terminal
  [Expand]User Manual for PANTHEON Web Legal
  [Expand]Old products Archive
[Collapse]PANTHEON Granules
 [Collapse]Guides for PANTHEON Granules
  [Expand]Personnel Granule
  [Expand]Travel Orders Granule
  [Expand]Documents and Tasks Granule
  [Expand]Dashboard Granule
  [Expand]B2B Orders Granule
  [Expand]Field Service Granule
  [Expand]Fixed Assets Inventory Granule
  [Expand]Warehouse Inventory Granule
 [Collapse]User Manuals for PANTHEON Granules
  [Expand]Getting started
  [Expand]Personnel Granule
  [Expand]Travel Orders Granule
  [Expand]Documents and Tasks Granule
  [Expand]B2B Orders Granule
  [Expand]Dashboard Granule
  [Expand]Field Service Granule
  [Expand]Fixed Assets Inventory Granule
  [Expand]Warehouse Inventory Granule
  [Expand]Archive
[Expand]User Site

Load Time: 531.2531 ms
"
  1203 | 1542 | 336508 | Updated
Label

Posting of Set-off

Posting of Set-off

010381.gif010411.gif010382.gif010383.gif

 

000001.gif By posting of set-off changes to payment orders - if they are created - are also performed. Payment order validation is not performed if you have posted the set-off prior to this and then created payment orders for already set-off documents.

By clicking the Close/post button you launch the creation of journal entry for transferring of post from receivables and paables accounts to set-offs-in-progress accounts. The program verifies if payment orders to be set-off exist in transactions and returns a table: Overview of changes to payment orders and then it displays the ID of the created journal entry (see Posting successfully closed! Journal entry XXX).

After the successful posting the program displays journal entry.

 

 

The program allows for posting of bianco set-off when outstanding items to be closed are selected in the Linked invoice balance panel only on the receivables or rather payables side, or you have not even selected them. In such a case the program verifies prior to the posting if there is an account entered in the set-off header, to which it is possible to post receivables and/or payables. The posting is subsequently performed. In case you have selected an account from the set-off header by using wildcard characters the program returns a message: You cannot post to account XXX!

 

 

Rate this topic
Was this topic usefull?
Comments
Comment will also bo visible in forum!