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  • When

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  • migrating to EMP

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  • , this function is needed to transfer the opening balance (

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  • DEBIT) to EMP.

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  • This function transfers the amount owed to / owed by the customer.
  • The opening balances are best brought forward immediately after the EMP is adopted.
  • Make sure that you have already imported the customer code first. Refer to Importing Customer Records

Method 1:

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  • fill in information in excel format (refer file attached: Upload Customer Opening Balance = Upload Invoice)
    Notes:
    1. Branch: Actual Branch
    2. Customer: Actual Customer/EMP Customer PKID
    3. Date: follow outstanding invoice date (before start Wavelet Txn)
    4. Item code: OPENING-BALANCE (Makesure that item type is "Service Type" and MA cost = RM 0)
    5. Qty: 1
    6. Reference: Old Invoice number
    7. Price: Follow Invoice outstanding price
  • save in csv. file 
    CSV file filter settings:
    1) Field Deliminater: |
    2) Text Deliminater: blank
    (Use the | character to separate columns).
  • Trading > Sales > Upload Invoice
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UPLOAD FUNCTION

Menu Path: Trading > Sales > Upload Invoice

  • Follow the Step 1 - 4 on UPLOAD INVOICE
  • Advisable to use OPEN OFFICE when fill up the data and separate the file into multiple CSV file to shorten the upload time consume
  • Please make sure the date on Upload Template is BEFORE FIRST EMP FINANCIAL YEAR

Sample of Error Message:

"The following item do not have TAX_CODE. If you wish to continue, click Continue. System will update without further verification"

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  • If this situation happen, please verify and correct the error eg: in the above case, put the correct TAX_CODE in the file
  • After editing the file, please reupload the file

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  • If this situation happen, please verify and correct the error eg: in the above case, put the correct Date Format in the file
  • After editing the file, please reupload the file

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  • If this situation happen, please verify and correct the error eg: in the above case, put the correct Word Format in the file
  • After editing the file, please reupload the file



Method 2: Manual Customer Invoice

Menu Path: Customer > Maintenance > Opening Balance
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  1. Select a branch and click ‘Change Branch’.
  2. Search a customer name under ‘Billing Account’ by clicking ‘Select Customer’.

Enter :

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  1. Key In Old Reference Number from previous system, Remarks, Salesman and Outstanding Balance Amount (The amount outstanding can be obtained from your old system’s Outstanding Debtors for individual customers

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  1. )
  2. Key In Date → BEFORE FIRST EMP FINANCIAL YEAR
  3. Click "ADD INVOICE"
  4. A ‘List of Outstanding Documents to be Settled’ will show the opening balance at the bottom.
  5. Click

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  1. "CONFIRM and SAVE"

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Notes:

  • For Credit amount (sales return / refund), remember to use a 

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  • Credit Memo instead to create a debit note for the customer.

Debit: cashDiscount RM XXX
Credit: accReceivable RM XXX

  • After importing the customer records, you can resume to this function as the customer records will already exist in the system, allowing user to ‘Select Customer’.
  • Opening balances need be entered one by one for each customer

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FINAL STEP: Remove Journal Transactions

Menu Path: Accounting > Maintenance > Configuration > Set Opening Balance

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  • Remove Journal Transaction before financial year (Invoice journal created above)
  • Perform Stock Adjustment to item OPENING-BALANCE to off-set the negative (-) quantity and inactive the code
  • Remove Journal Transaction before financial year (Invoice journal created above)

Accounting > Maintenance > Configuration > Set Opening Balance : Select & Set company > click "Yes, remove the transaction below"

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** Report checking:

Customer > Query/Report > Historical AR Balance 
Customer > Tasks > AR 
Trading > Sales > Invoice Listing*


Related

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cust-op-bal.jpg (56 kB) DeleteImage Removed Ratna Rozana, 2012-08-01 06:33 AM

Upload Invoice.jpg (253.3 kB) DeleteImage Removed Jia Pei Chan, 2013-06-23 04:54 PM

Upload invoice_save.jpg (202.4 kB) DeleteImage Removed Jia Pei Chan, 2013-06-23 04:54 PM

upload inv_success.jpg (56.5 kB) DeleteImage Removed Jia Pei Chan, 2013-06-23 04:54 PM

remove jtxn.jpg (140.3 kB) DeleteImage Removed Jia Pei Chan, 2013-06-23 04:54 PM

Upload Customer Opening Balance.ods (13.2 kB) DeleteImage Removed Jia Pei Chan, 2013-11-22 09:39 PM

Upload Customer Opening Balance.xls (20.5 kB) DeleteImage Removed Jia Pei Chan, 2013-11-22 09:39 PM

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