Enter each line item for the AP disbursement in a separate row in the grid. 
		
 
		 
		|  Field  |  Description  | 
 
		   
			 |  Description 
			  | 
 
			  Enter a description for the disbursement line item. Disbursement descriptions display on invoices, 
				accounts payable reports, and general ledger reports. 
			  | 
 
		  
 
		   
		  | Project 
		   | 
 
		  Enter the project number or select a project from the Project lookup. 
		   | 
 
		
 
		   
		  | Phase 
		   | 
 
		  Enter the phase number or select a phase from the Phase lookup. 
		   | 
 
		
 
		   
		  | Task 
		   | 
 
		  Enter the task number or select a task from the Task lookup. 
		   | 
 
		
 
		   
			 |  Expense Code 
			  | 
 
			  
				  This field displays only if the expense code feature is enabled in 
				  . 
				 
 
				The 
				  vendor's default expense code automatically displays in this field after the 
				  project, 
				  phase, and 
				  task have been selected for the disbursement. The field remains blank if an expense code value was not set up for the 
				  vendor on the Accounting tab of the 
				  Firms hub. 
				 
 
				The field is required only if the 
				  Enable expense codes option is configured to require expense codes for all 
				  project charge types or for 
				  projects with a regular charge type. 
				 
 
				To select an expense code or to modify the default code, click the field's drop-down arrow. 
				 
 
			  | 
 
		  
 
		   
			 | Document 
			  | 
 
			  Use this field to associate one or more documents with the disbursement. A 
				  
				Document Uploaded icon displays to indicate that a document is uploaded and associated. 
			  | 
 
		  
 
		   
			 |  
				Account 
			  | 
 
			  
				 Enter the general ledger 
				  account for this disbursement item. The 
				  project type and 
				  account number must be compatible. If the disbursement is for a regular 
				  project, enter a reimbursable or direct 
				  account. If the disbursement is for an overhead 
				  project, enter an indirect 
				  account. 
				 
 
				Enter the 
				  account number or use the 
				  Account lookup to select an 
				  account. 
				 
 
				If you use multiple currencies and a currency has been specified for this 
				  account (on the General tab of Chart of 
				  Accounts), the 
				  account is a foreign denominated 
				  account. All transactions that affect a foreign denominated 
				  account must be in the same currency. 
				 
 
			  | 
 
		  
 
		   
			 |  Net Amount 
			  | 
 
			  
				  This field displays only if the 
				  Enable Tax Auditing Feature check box is selected on the Tax Auditing tab in 
				  . 
				 
 
				Enter the disbursement item's net amount that does not include the tax amount. After you enter an amount in this field, a tax amount is calculated automatically and prefills in the 
				  Total Tax Amount field if a default tax code was entered for the 
				  vendor in the 
				  Firms hub or if there were any default tax codes entered in the 
				  Default Taxes grid on the New File dialog box. This dialog box displayed when you entered a new transaction file for the AP disbursement transaction entry. 
				 
 
				If you change the amount in the 
				  Amount field in this grid, the amount in the 
				  Net Amount field is recalculated automatically. 
				 
 
			  | 
 
		  
 
		   
			 | Total Tax Amount 
			  | 
 
			  
				 This field displays only if the 
				  Enable Tax Auditing Feature check box is selected on the Tax Auditing tab. 
				 
 
				This field prefills with the calculated tax amount for a disbursement item after you enter an amount in the 
				  Net Amount field. The calculation is based on the net amount and the default tax codes that were entered on the New File dialog box when you created the transaction file for the AP disbursement. 
				 
 
				If there is a default tax code entered for a 
				   vendor on the Vendor tab in the 
				   Firms hub, the 
				   vendor's default tax code is used as follows to calculate taxes in the 
				   Total Tax Amount field: 
				  
				  - The 
					 vendor's default tax code is used as the first tax code to calculate the tax for a disbursement instead of the default tax code that has the first (or lowest) sequence number from the New File dialog box. 
					 
Example: The default tax code entered for a 
						vendor in the 
						Firms hub is XXX. The default tax codes that are entered on the Tax Auditing tab in Accounting Company Settings that prefill on the New File dialog box are AAA (with sequence 5), BBB (with sequence 30), and CCC (with sequence 45). Tax code XXX from the 
						vendor record will override tax code AAA (with sequence 5, the lowest sequence number) when an AP disbursement is entered in the Transaction Center for that particular 
						vendor. The tax codes that are used for the transactions for that 
						vendor are XXX, BBB, and CCC. 
					  
 
				   
 
				  -  If no default tax codes are entered on the New File dialog box and there is a default tax code entered for the 
					 vendor on the Vendor tab in the 
					 Firms hub, the 
					 vendor's default tax code is used to calculate the taxes. 
				  
 
 
				 
 
				 
 
				The tax amount that is automatically calculated, or the 
				  0.00 that displays in this field if no tax codes are entered, is a blue hyperlink. Click the hyperlink to open the Tax Codes dialog box where you can change the tax codes to recalculate the taxes. You can also directly change the tax amounts. When you change the amount in the 
				  Total Tax Amount field, the amount in the 
				  Amount field in the grid is updated automatically. 
				 
 
				 If you use multiple currencies, the currency that is used for the amount in the 
				  Total Tax Amount field is the transaction currency. 
				 
 
				When Tax Code Entry Is Required 
				 
 
				If you are required to enter tax codes for AP disbursements, you will not be able to save a disbursement if no amount is entered in the 
				  Total Tax Amount field for any disbursement line item in the grid. Click the hyperlink in this field to open the Tax Codes dialog box and select at least one tax code to automatically calculate the total tax amount. 
				 
 
				Tax code entry is required when the 
				  Require Tax Codes to be Used in AP Transactions check box is selected on the Tax Auditing tab. 
				 
 
			  | 
 
		  
 
		   
			 | Originating 
				Vendor 
			  | 
 
			 This field displays only if you selected the 
				Enable Originating 
				  Vendor for 
				  Employee Expenses and AP Vouchers check box on the Tax Auditing tab. Entry in this field is optional. 
				 Click in this field to display the 
				    
				  Search icon. Then click the icon to open the 
				  Vendor lookup. Select the 
				  vendor from whom the disbursement item was originally purchased if it is different than the 
				  vendor that you are paying (entered in the 
				  Vendor field at the top of this form). For example, if you are entering a disbursement for a charge card 
				  vendor, you can enter a line item for each charge (purchase) and associate the charge with the originating 
				  vendor. 
				 
 
				You can select active or inactive 
				  vendors, but not dormant 
				  vendors. 
				 
 
				If you use multiple companies, you can select only 
				  vendors that are approved for use for processing for the active company. (The 
				  Approved for use in processing company xx setting is on the Vendor tab in the 
				  Firms hub.) 
				 
 
			  | 
 
		  
 
		   
			 |  Amount 
			  | 
 
			  
				  If you do not use the Tax Auditing feature, enter the amount of the disbursement line item. 
				 
 
				If you use the Tax Auditing feature (the Enable Tax Auditing Feature check box is selected on the Tax Auditing tab, the 
				  Amount field prefills with the sum of the amounts from the 
				  Net Amount field and the Total Tax Amount field. This is the total amount for the disbursement item. 
				 
 
				If you change the amount in the 
				  Amount field, the amounts in the 
				  Net Amount and 
				  Total Tax Amount fields are recalculated automatically. 
				 
 
			  | 
 
		  
 
		   
		  |  Exchange Override Rate 
		   | 
 
		   If you use multiple currencies, you can use this field to override the exchange rate for a single line item. 
			 DPS stores each transaction amount that you enter in the currency that you selected on the New File dialog box. 
			 DPS also stores the amount in the functional currency of the company that owns (via organization structure) the project, phase, or task charged for the transaction. If the transaction currency and functional currency differ, 
			 DPS uses the daily exchange rates that you establish in Settings to calculate the amount in the functional currency. Usually, a transaction is recorded using the exchange rate in effect on the date the transaction took place, unless you specify an override in this field. 
		   | 
 
		
 
		   
		  |  Payment Amount 
		   | 
 
		   This is the amount to be paid for the line item. This prefills with the amount from the 
			 Amount field. 
			   If you use multiple currencies, the account that is specified for the bank code determines the payment currency for the transaction. (You specify the account's currency when you set up the account in 
				.) 
			  
 
		   | 
 
		
 
		   
		  |  Suppress Bill 
		   | 
 
		   Select this check box to suppress billing on an expense. The amount on each detail line is costed to the general ledger only (and does not become a billable transaction). If you select this option, then the expense does not flow through to the Billing application. 
		   |