Allocation
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Create allocation
transactions in an allocations journal.
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You must create an
allocation rule in the Ledger allocation rule form before
you can create an allocation journal.
For more information, see the following topics:
|
Amount difference
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(RUS) Create and link
amount difference factures to an original purchase invoice or to an original
sales invoice.
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For more information,
see the following topics:
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Approval
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Post vendor invoices
that have been approved to the appropriate ledger accounts.
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For more information,
see the following topics:
|
Assessed tax
|
(RUS) Create a ledger
journal of assessed tax transactions for Fixed assets (Russia).
– and –
(RUS) Calculate the depreciation bonus recovery register.
|
For more information,
see the following topics:
|
Bank check reversal
|
Reverse a posted
check.
|
Select the Use
review process for payment reversals check box in the Cash
and bank management parameters form to use this journal type.
For more information, see the following topics:
|
Bank deposit slip
cancellation
|
Cancel a deposit slip.
|
Select the Use
review process for deposit slip payment cancellationscheck box in
the Cash and bank management parameters form to use this
journal type.
For more information, see the following topics:
|
Budget
|
Process budget
appropriations.
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Select the Enable
budget appropriation check box in the General ledger
parameters form to use this journal type. The budget journal entries
will include information that is based on the ledger accounts that are
defined in the Posting definitions form.
|
Cash
|
(LTU) Register cash
transactions.
– and –
(RUS) Post retail transactions.
|
For more information,
see the following topics:
|
Customer accept bill
of exchange
|
Create customer
acceptance transactions for bills of exchange.
|
For more information,
see the following topics:
|
Customer bank
remittance
|
Create a bill of
exchange remittance file that can be sent to your organization’s bank.
|
Clear the Automatic
settlement check box in the Accounts receivable parameters form
to use this journal type.
|
Customer draw bill of
exchange
|
Create customer draw
bill of exchange transactions.
|
Clear the Create
and post draw journal automatically when posting invoices check box
in the Methods of payment - customers form to use this
journal type.
|
Customer payment
|
Create customer
payment transactions.
|
|
Customer protest bill
of exchange
|
Create customer
protest bill of exchange transactions.
|
|
Customer redraw bill
of exchange
|
Create customer redraw
bill of exchange transactions.
|
|
Customer settle bill
of exchange
|
Create customer settle
bill of exchange transactions.
|
|
Daily
|
Create daily
transactions in a general journal.
|
For more information,
see the following topics:
|
Deferrals
|
(RUS) Generate
deferrals write-off vouchers.
|
For more information,
see the following topics:
|
Elimination
|
Create elimination transactions
in an eliminations journal.
|
Select the Use
for financial elimination process check box and the Use for
financial consolidation process check box in the Legal
entities form to use this journal type.
You must create a ledger elimination rule in the Ledger
elimination ruleform before you can use this journal type.
|
Fixed asset budget
|
Create fixed asset
budget register entries.
|
|
Invoice register
|
Register basic
information about vendor invoices.
|
|
Land tax
|
(RUS) Generate land
tax transactions.
|
For more information,
see the following topics:
|
Payroll disbursement
|
Issue payments based
on Payroll pay statements.
|
You can’t manually
enter transactions in this journal. You must generate pay statements and then
submit those statements for payment.
This journal type is available only if you are using Microsoft
Dynamics AX 2012 R2.
|
Periodic
|
Create periodic
transactions for the periodic journal.
– and –
(EEUR) Create and post a periodic journal by specifying the
period interval for the recurrence, such as days or months.
|
|
Post fixed assets
|
Post fixed asset
transactions.
|
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Project - expenses
|
Create project expense
transactions.
|
|
Statistic transactions
|
Create statistical
transactions.
|
|
Tax cost price
|
(RUS) Create a tax
cost price journal.
|
For more information,
see the following topics:
|
Tax differences
|
(RUS) Create ledger
journals of tax difference transactions.
– and –
(RUS) Calculate the depreciation bonus recovery register.
|
For more information,
see the following topics:
|
Transport tax
|
(RUS) Calculate the
total transport tax amount and the advance transport tax payments.
– and –
(RUS) Create a transport tax declaration.
|
For more information,
see the following topics:
|
Vendor bank remittance
|
Create a promissory
note remittance file that can be sent to your organization’s bank.
|
|
Vendor disbursement
|
Create vendor
disbursement transactions.
|
|
Vendor draw promissory
note
|
Draw vendor promissory
notes as a method of payment.
|
Clear the Create
and post draw journal automatically when posting invoices check box
in the Methods of payment - vendors form to use this journal
type.
For more information, see the following topics:
|
Vendor invoice pool
excl. posting
|
Create vendor invoice
transactions that have not yet been posted to a temporary arrival account.
|
|
Vendor invoice pool
|
Create vendor invoice
pool transactions.
|
|
Vendor invoice
recording
|
Post vendor invoices
that are in a journal.
|
|
Vendor redraw
promissory note
|
Redraw a promissory
note that has been previously honored by your organization’s bank.
|
|
Vendor settle
promissory note
|
Create vendor settle
promissory note transactions.
|
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