Posting Vouchers - Detail
Posting does the following:
- Updates vendor records
- Creates posted transactions
- Updates the voucher register
- Updates the G/L journal
During posting, the system performs these steps:
- Adds the invoice amount to the Purchases YTD field on the Vendors or Multi-Site Vendors form for each posted transaction. For a voucher, the Last Purchase Date field on the Vendors or Multi-Site Vendors form is updated with the distribution date, provided that the distribution date is after the Last Purchase Date.
- Creates a posted transaction record, using the transaction currency, for each voucher transaction, and updates the corresponding posted transaction record for each adjustment transaction.
- Creates a voucher register record for each transaction that is not posted from PO. For each transaction, one voucher register distribution record is created for the A/P account, and one is created for each posted distribution record.
- Creates G/L journal entries for all A/P transactions, whether generated in PO or created in A/P.
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