Taxable persons are required to present their partners with invoices for pre-payments
made. Furthermore, they are required to keep a ledger
of prepayments received in order to ensure the correctness of tax records.
For this purpose, create documents using the document
type for prepayments received.
Prepayment received documents do not effect warehouse records, so you can
also create prepayment invoices by
Adding Customers' Orders to Prepayment Invoices.
Of course, this type of adding does not count as a realization of the customer's
order.
To keep track of prepayments received, use the following procedure:
1. Post a Statement from a Bank Account
Post
a statement from a bank account for a prepayment received. You've
used the number of the quotation of your prepayment for the linked
document:

2. Create an Invoice for a Prepayment Received
It can be created using the document type for prepayments received:

The date of the invoice for the prepayment is also the date the amount will be
included in tax records!
Print the invoice and present it to the payer:
3. Posting an Invoice for a Prepayment Received
By
Automatic Posting of Issued Invoices or using the
shortcut in the right click menu, post the invoice for the prepayment received.
Use the internal number of the document for the linked document. The journal
entry lines you've created:
4. Create an Issued Invoice
When you finally issue the goods or services for which you received the
prepayment, create an issued invoice using the regular procedure.
5. Link the Issued Invoice to the Invoice with the prepayment (Negative
Prepayment Invoice)
When you create an issued invoice, in the Prepayments tab choose the desired
prepayment and click Confirm. This
way, a negative prepayment invoice is automatically created:


The prepayments received ledger will display the settled balance of received
prepayments and negative values from the negative invoice for the prepayment.
When you print the invoice you've linked with the prepayment, the prepaid amount
and remaining values for the payment will appear at the bottom of the invoice.
You can also create a cash receipt for a cash payment .........
6. Automatically Post the Negative Prepayment Invoice
To fill in the linked document, select linked document 1.
This is where the program automatically enters the number of the prepayment
invoice from which the negative prepayment invoice was created. This way, the
positive and negative prepayment invoices close or balance each other. (If you
do not do this, you will later have to link both lines - see Closing -
Manual). The journal entry lines you've created:
7. Automatically Post the Issued
Invoice
The journal
entry lines you've created:
8. Link the Prepayment Received with
the Issued Invoice
In the Closing Outstanding
Prepayments document, link the prepayment received with the issued invoice:

The journal entries created by the automatic closing of outstanding
prepayments:
Of course, you can carry out this procedure differently. You can, for
instance, create an invoice for a received prepayment before posting the bank
statement. If you do this, you will use only the number of the prepayment
received (internal number) for the linked document.
General Functions:
Related Topics: