Product Update 414: Grouping functionality for audit files introduced (French legislation)
A new setting for grouping audit files has been introduced.
This enhancement is applicable to the French legislation.
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By selecting GL as the grouping option, the opening
balance entries will be grouped by general ledgers (as existing) whereas by selecting GL
& Account, the opening balance entries will be first grouped by the general
ledgers, and then further grouped by the debtor or creditor account for debtor or creditor general ledger. This setting is enabled only when the Include: Opening balance check box has been selected.
For further explanation, refer to the following scenarios:
Note: The GLs used in these examples, GL 1000 and GL 2000, are both debtor GL.
a) When GL is selected as the grouping option
Opening balance entries:
GL
|
Debit
|
Credit
|
Account
|
1000
|
50
|
|
B1
|
1000
|
|
30
|
B1
|
1000
|
|
20
|
B1
|
1000
|
2
|
|
B2
|
1000
|
8
|
|
B3
|
2000
|
150
|
|
B3
|
2000
|
|
150
|
B3
|
2000
|
50
|
|
B4
|
2000
|
|
20
|
B4
|
2000
|
|
30
|
B4
|
GL 1000
Debit = 60, Credit = 50, Balance = 10
GL 2000:
Debit = 200, Credit = 200, Balance = 0
The opening balance entry in the generated audit file is as follows:
The opening balance entries for GL 2000 are
not included in the audit file due to the balance being “0”.
b) When GL & Account is selected as the grouping
option
Opening balance entries:
GL
|
Debit
|
Credit
|
Account
|
1000
|
50
|
|
B1
|
1000
|
|
30
|
B1
|
1000
|
|
20
|
B1
|
1000
|
2
|
|
B2
|
1000
|
8
|
|
B3
|
2000
|
150
|
|
B3
|
2000
|
|
150
|
B3
|
2000
|
50
|
|
B4
|
2000
|
|
20
|
B4
|
2000
|
|
30
|
B4
|
GL 1000
Account B1: Debit = 50, Credit = 50,
Balance = 0
Account B2: Debit = 2, Credit = 0, Balance = 2
Account B3: Debit = 8, Credit = 0, Balance = 8
GL 2000
Account B3: Debit = 150, Credit =
150, Balance = 0
Account B4: Debit = 50, Credit = 50,
Balance = 0
The opening balance entries will first be grouped by the general
ledgers, as follows:
GL
|
Debit
|
Credit
|
Account
|
1000
|
10
|
|
|
Note: The opening balance entries
for the GL 2000 are not included in the audit file due to the balance
being “0”.
After the entries have been grouped by
the general ledgers, the entries will further be grouped by the debtor or
creditor account, as follows:
GL
|
Debit
|
Credit
|
Account
|
1000
|
50
|
|
B1
|
1000
|
|
30
|
B1
|
1000
|
|
20
|
B1
|
1000
|
2
|
|
B2
|
1000
|
8
|
|
B3
|
Finally, the opening balance entries will
be reflected in the generated audit file as follows:
GL
|
Debit
|
Credit
|
Account
|
1000
|
2
|
|
B2
|
1000
|
8
|
|
B3
|
The opening balance entries for the B1
account are not included in the audit file due to the balance being “0”.
Main Category: |
Support Product Know How |
Document Type: |
Release notes detail |
Category: |
Release Notes |
Security level: |
All - 0 |
Sub category: |
Details |
Document ID: |
27.504.794 |
Assortment: |
Exact Globe
|
Date: |
29-06-2017 |
Release: |
414 |
Attachment: |
|
Disclaimer |