Handling Rebates in NEOSYS: Difference between revisions

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Below are sample screen shots for each of the above steps:
Below are sample screen shots for each of the above steps:


[[image:rebate.png]]
[[image:rebate.png]]


[[image:rebate1.png]]
[[image:rebate1.png]]
The manual entries to be made in JOU journal are:
Dr AVR income discount
Cr AVR income discount provision
Cr AVR cost discount
Dr AVR cost discount provision


[[image:rebate2.png]]
[[image:rebate2.png]]

Revision as of 12:05, 3 April 2016

Below are the steps to be followed for posting rebate received/paid in NEOSYS:

  1. Create AVR accounts and AVR Provision accounts for media/job types in the P&L Ledger.
  2. Link the AVR accounts to their respective media/job types file.
  3. Once the media/job invoices are generated, create entries in JOU journals for the AVR account. Enter the analysis code and then save and post the batch.

Billing analysis reports will give rebate paid/received. On running a billing analysis report, you can see the discounts getting reflected.

Below are sample screen shots for each of the above steps:


Rebate.png


Rebate1.png


The manual entries to be made in JOU journal are:

Dr AVR income discount
Cr AVR income discount provision
Cr AVR cost discount
Dr AVR cost discount provision

Rebate2.png