Navigator > Maintain > General Ledger > Transaction Batch List - OR -
Navigator > Tasks > General Ledger > Enter Transactions
Use Enter Transaction Batch for all transaction maintenance including adding, editing, deleting and posting. You can:
Opening batches
Double-click to open a batch. To locate a Batch by number, click
Batch (Alt+B), enter the Batch number, click OK, the batch will be selected.
Selections |
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Period Selection |
Select the period range to view batches for.
Period lookup has a year selection. Press Default is Range of Periods with From Period set to First Available period for GL and To Period set to Last Available period for GL. |
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Module Selection |
Select the Source Module to view batches for. |
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Selection |
View Unposted (default), Posted, Deleted or All Batches (Excl Deleted). Note: All Batches option show all Posted and Unposted batches, Deleted batches are excluded. |
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Grid toolbar |
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Expand Toolbar |
Expand the toolbar to give access to all toolbar options. Press |
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Insert |
You can create a new batch, the following Batch classes are available,
Other Batch Types These batch classes are unavailable using the Insert Batch option: Reversing Out (Duplicate Contra) - can be created by, open a batch, click Duplicate, select Reversing Out. All debits from the original batch are changed to credits (and vice versa). Module Batch - these are created from AR, AP, CB, FA, IC, JC and GST. There are limitations on editing these batches to maintain data integrity and drill down to the originating transaction.
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Delete |
Delete a selected batch. If you are unsure, view the batch. The batch is transferred to the deleted batches list. Restore deleted batches by selecting the batch, click the |
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Open |
Opens Batch data entry, view Transaction Batch including all lines. You can edit an unposted batch. |
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Print |
Print, or save as an Excel worksheet or PDF file and send as an attachment. |
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Filter / Sort List Clear Filter / Sort |
Apply or clear a Filter & Sort. The button changes to indicate if a filter and sort is applied. |
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Customise |
Opens Customise Fields, you can customise the fields visible in the grid. |
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Refresh |
The Transaction Batch list reloads to reflect changes. |
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Post Selected |
You can post a single unposted batch, see GL Enter Transactions. |
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Post all up to current period |
You can post all batches for periods up to and including the Current Period for GL. It will terminate if it finds an invalid batch. |
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Import from File |
You can import Transaction Batches in the standard Accredo GL Batch format or the IMS Payroll Partner format. |
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Export to File |
You can export Transaction Batches in the standard Accredo GL Batch format. |
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Unpost selected Unpost current period batches |
Setup from Navigator > Setup > General Ledger > Settings - General tab > Allow Batch Unposting (control permission). Unposting restores to an unposted state and removes the batch from account balances. Unposting a Standing or Reversing In batch prompts for whether a new Standing or Reversing Out batch created on post should be unposted and deleted. You can use this button to restore a Deleted batch. The button hint will display "Undelete individual batch" when a delete batch is selected. |
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Find |
Find a batch using the Batch ID. |
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Customise Toolbar |
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Button |
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Batch |
Find a Batch by the Batch Number. |
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Posting batches |
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Batches may only be posted within the first and last available period and must balance, that is, total debits equals total credits. The transactions in the batch will be posted to the accounts. Following posting, Standing Journal Batches are replicated as a new unposted batch for the next period. Reversing (In) batches are replicated as a new unposted batch for the next period with debits and credits reversed; the class on the new batch is Reversing Out. |
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Posting batches - errors |
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The message, Posting has been cancelled, may appear - you must correct errors to continue. The batch error will appear in the list, open the batch (
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Integration with modules |
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Integration between subsidiary ledgers and the GL places Transaction Batches in the list of unposted GL Batches, post to integrate. However, unposted batches may not be valid for posting if account numbers and GL control codes have not been correctly setup in other ledgers, or if changes have been made to the Chart Of Accounts. Correct these by editing the batches in the same way as batches entered directly to the GL are edited. |
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