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You may find it helpful to review background information about topics such as transaction center approvals, labor cross charge setup, tax regions, and tax auditing.
Related Topics:
- Transaction Center Approvals
Use the Transaction Center Approval feature if you want employees to submit transaction entry files for approval before the files are posted. - Transaction Date Validation
For companies operating in some countries, transaction dates must fall within the currently active accounting period. You can set DPS up to enforce this requirement, either for the fiscal year or for the fiscal period. - Special
Projects for
Labor Cross Charge
As part of Labor Cross Charge setup, you must create one or more projects to use with Labor Cross Charging, and associate them with each organization that uses Labor Cross Charging. - Billing Terms and
Labor Cross Charge
If you select Calculate from Billing Terms in the Rate Method field on the Cross Charge tab of Accounting Company Settings, each project/phase/task's billing terms is used to calculate the journal entry amount to transfer a labor or other amount. - General Ledger
Accounts for Journal Entries
If your enterprise uses an approach that transfers any amount other than labor cost, you must decide which general ledger accounts to use for journal entries. - Originating
Vendors
You can enter an originating vendor in addition to the actual employee or vendor who is getting directly paid for employee expense reports, accounts payable vouchers, and accounts payable disbursements. - Tax Regions
Use tax regions to include only the appropriate tax codes for a vendor or client in the Tax Code drop-down list in AP voucher entry, AP disbursement entry, and invoice billing terms. - Tax Auditing
Use the Tax Auditing feature to enter input taxes in DPS and report on taxes from billing invoices and purchase orders.
Parent Topic: Accounting Company Settings