Cougar Mountain Software Support Productivity Tools
Accounts Payable Module Procedures
For Cougar Mountain Software Support's
Professional Version (V2012, V2011, V2010, V2009, V12- V7)

                
Adjust
ing a posted invoice balance

  1. If you have several errors things to correct as of a prior date, you may want to set the Cougar Date to that date to speed entry and minimize mistakes
  2. Select the AP Module
  3. Pay Bills
  4. Adjust/Pay Bills
  5. Set Batch (suggest a separate batch for corrections)
  6. Click on Balance Adjustment
  7. Click on Decrease Balance
  8. Select Vendor
  9. Fill in the Descriptions (suggest credits & adjustments be over documented in the description in notes)
  10. Skip the Reference #
  11. Lookup the Apply to #, select it and note the dollar amount
  12. Fill in the Reference # (suggest you use the same number as in Apply to # plus a suffix info, like Dbl, Adj, etc.)
  13. Enter the GL account number to adjusted (if unsure, using the largest cost of sales account is a possibility)
  14. Fill in the dollar amount to adjusted
  15. Click the Apply field so there is a check mark there
  16. Review the info on the screen, especially the date and amount
  17. Save
  18. After all corrections have been entered, print and carefully check the info on the edit report
  19. For V12+ users, run the Account Impact Summary (an option on the AP edit report) to the screen and review the pre-posting G/L accounts that would be affected.
  20. Post the batch
  21. Review the posting reports, especially the GL Posting reports for account numbers, dates and amounts.
  22. It is recommended to review the vendor either in Vendor Maintenance or on an agings
 

The Print Account Impact Summary
which was an added feature with
Version 12

End of procedure by www.cougarmtnsupport.com

 

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