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P2P Accounting Entries for Fixed Asset Item

Posted: Mon Dec 03, 2012 10:58 am
by Anjireddy.r12
Hi,

Fixed Asset Item - Only Purchasing Flag enabled for Item.
---- Assign Asset clearing Account in Expense tab.


We have two Accounting Options for Expense items Accrue at <b>Receipt or Period End</b>

If it is at the time of <b>Receipt :</b>

Receiving :

Receiving Inventory A/C Dr
Expense AP Accrual A/C Cr

Invoice Matching:

Expense AP Accrual A/C Dr
Liability A/c Cr

Here my doubt is Either System creates Accounting entries for Deliver or not?

<b>Deliver :

Asset Clearing A/C Dr
Receiving Inventory A/C Cr</b>


Please let me know your views.

Thanks & Regards,
Anjireddy

Posted: Fri Dec 07, 2012 8:23 am
by karthikeyanp1981
Yes Anji, system creates an accounting entry at Deliver Event ...else the accounting would never match ....

On Receipt
========
Receiving Inventory A/C Dr
Expense AP Accrual A/C Cr

On Deliver
=======
Asset Clearing A/C Dr
Receiving Inventory A/C Cr

On Invoice Matching
=============
Expense AP Accrual A/C Dr
Liability A/c Cr

On Invoice getting paid,
================
Liablity A/C Dr
Cash A/C Cr

On Asset getting Created / capitalized in FA Module.
==================================
Asset Cost A/C Dr
Asset Clearing A/C Cr

Therefore, Receiving Inventory, Expense AP Accrual, Asset Clearing Account, Liability Account, all nets nullified, the resultant accounting entry would be ...

Asset Cost A/C Dr
Cash A/C Cr

Which is correct ....

Regards,
Karthikeyan