Allocating Creditor Receipts
Receipts can be allocated against outstanding credits in the Cashbook receipts form. Allocations are done in the Cashbook Allocations form that is loaded by clicking the arrow next to the fields Home Alloc / FX Alloc. Allocations are done by:
Double-right mouse click the Total Outstanding to allocate against the oldest credits
Right mouse click Un-Allocated Amount in the grid for the relevant credits
Manually entering in the amount to be allocated in This Alloc field
Entering in an allocation amount that is greater than than the transaction amount edits the allocation back to the transaction amount outstanding on save of the allocation.
Where the allocations to a creditor record have changed, a message displays on activating the form and the lines in question are displayed in RED and the allocations adjusted accordingly. Review, make changes, save and activate again.
Below are the steps for performing allocations:
1. Click the allocation arrow to load the Cashbook Allocations form
Double-right mouse click Total Outstanding; or
Right mouse click invoice amount outstanding; or
Manually enter in the relevant allocations
2. Save the allocation.
3. Repeat steps 1-2 as required.