Effect of Posting Accounts Payable Payments

When you post accounts payable payments, Vision makes multiple entries to the General Ledger and Accounts Payable subledgers.

The posting process:

The posting process also updates accrual and cash basis balances in General Ledger accounts with the payment amount, as summarized in the following table.

Accrual basis entries A debit entry for the total voucher amount, to the A/P liability account specified for the voucher.

A credit entry to the bank account.

A credit entry for any discount amount, to the discount account and to the project or task related to the voucher.

Cash basis entries A debit entry for each expense account specified on the voucher.

A credit entry to the bank account.

When the Enable detailed subledgers for intercompany billing option is selected on the General tab of Configuration > Accounting > System Settings:

  • For each intercompany transaction, Vision posts a debit for the payment amount to the cash basis suspense account.
  • When the intercompany voucher is paid, Vision debits the original transaction expense account.

If the Maintain separate balance sheets by Organization option is selected in Configuration > Organization, and a discount is taken, Vision posts the payment file to the organization of the project assigned to the discount code, and not to the default organization.