Purchase Ledger Help
For each type of adjustment posting you need to make in the purchase ledger, you must have an adjustment type record that identifies the nominal ledger account to which the transaction value is posted. Using the Adjustment Names command, you can maintain a table of these adjustment types. You then select the relevant name in the Reference 2 list box when posting a purchase adjustment transaction.
Using Adjustment Names - Example of dealing with a misposting
When you pay your supplier in a foreign currency, it is likely that the exchange rate between the home and foreign currencies will have changed since the date the invoice was posted. As a result of that change, there will be a gain or loss depending on whether or not it is in your favour. The value of such discrepancies is posted to a nominal account you identify on the Adjustment Names form.
If you use the multi-currency module you can define a description and nominal account for gains or losses arising from foreign exchange transactions. A home currency must also be defined in the System - Maintenance - Company Profiles command.
Box |
Description |
---|---|
Name |
A unique name for the adjustment type. You can use up to 10 characters. |
Nominal Code |
A reference that identifies the nominal ledger account to which the value of the purchase adjustment will be posted. You can select from a list. Nominal account records are defined using the Processing command in the Nominal module. |
Settlement Discount VAT Adj. |
This is used only if you use VAT Return adjustments to update your VAT Return when invoices are paid and prompt payment discount (settlement discount) is deducted. What controls how Opera calculates VAT on invoices with prompt payment discount? |
Exchange Gain/Loss |
An adjustment description and corresponding reference that identifies the nominal ledger account to which the value of the foreign currency exchange discrepancies (gains or losses) that cannot be attributed to one currency are posted. You can select from a list. Nominal account records are defined using the Processing command in the Nominal module. These boxes are displayed if you use the multi-currency module and have defined a home currency in the System - Maintenance - Company Profiles command. |