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		<title><![CDATA[FrontAccounting forum — How to properly track cash advances from employees]]></title>
		<link>https://frontaccounting.com/punbb/viewtopic.php?id=6379</link>
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		<description><![CDATA[The most recent posts in How to properly track cash advances from employees.]]></description>
		<lastBuildDate>Fri, 29 Jul 2016 05:46:09 +0000</lastBuildDate>
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			<title><![CDATA[Re: How to properly track cash advances from employees]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=25883#p25883</link>
			<description><![CDATA[<p>1. Open a &quot;Bank&quot; Account for the client.<br />2. Whenever the client is given an advance, treat it as if money was deposited into the above &quot;Bank&quot; Account.<br />3. During settlement, allocate from the said &quot;Bank&quot; Account.</p>]]></description>
			<author><![CDATA[null@example.com (apmuthu)]]></author>
			<pubDate>Fri, 29 Jul 2016 05:46:09 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=25883#p25883</guid>
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			<title><![CDATA[Re: How to properly track cash advances from employees]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=25876#p25876</link>
			<description><![CDATA[<p>Ok, well I thought I had it figured out but I don&#039;t think I do.&nbsp; I tried running a couple tests with the way I described above and I think it just made a bigger mess of things.&nbsp; So apmuthu, if you could explain to me what the entry process would be in FA to make it track correctly I would greatly appreciate it.</p>]]></description>
			<author><![CDATA[null@example.com (myhandgunpursedotcom)]]></author>
			<pubDate>Thu, 28 Jul 2016 01:26:29 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=25876#p25876</guid>
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			<title><![CDATA[Re: How to properly track cash advances from employees]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=25875#p25875</link>
			<description><![CDATA[<p>Nevermind, I think I just answered my own question.&nbsp; I just need to set the cogs account for that item as my revenue clearing account that I use to put the revenue from the settlement statements in and make the payments for expenses or deductions from the settlement statements before I show the account transfer in FA to show what the real number was that was direct deposited into the bank account.</p>]]></description>
			<author><![CDATA[null@example.com (myhandgunpursedotcom)]]></author>
			<pubDate>Wed, 27 Jul 2016 21:20:15 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=25875#p25875</guid>
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			<title><![CDATA[Re: How to properly track cash advances from employees]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=25874#p25874</link>
			<description><![CDATA[<div class="quotebox"><cite>apmuthu wrote:</cite><blockquote><p>Entry as &quot;Loans provided&quot; with appropriate journal entries when an earning is credited.</p></blockquote></div><p>Can you explain with a little more detail?&nbsp; Right the way I was entering it was under supplier invoices and created an Item called advances, but that put it into an expense category which I now realized was wrong.&nbsp; But how would I make entering the advance easy so it does&#039;t take him multiple steps once I finish setting him up on the program?</p><p>I guess a little more clarification would help, he runs a trucking company where he receives a weekly settlement statement from the carrier he is contracted with.&nbsp; It shows all of the revenue for loads he ran that week in one section and then shows all of the deductions like fuel, advances, insurance, etc. in a deductions section.&nbsp; That&#039;s why I really didn&#039;t think anything of it while I as entering his statements in the other night and then the next morning I realized that the P&amp;L statement didn&#039;t look right and that&#039;s when I realized I messed up on his advances.</p>]]></description>
			<author><![CDATA[null@example.com (myhandgunpursedotcom)]]></author>
			<pubDate>Wed, 27 Jul 2016 19:15:03 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=25874#p25874</guid>
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		<item>
			<title><![CDATA[Re: How to properly track cash advances from employees]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=25865#p25865</link>
			<description><![CDATA[<p>Entry as &quot;Loans provided&quot; with appropriate journal entries when an earning is credited.</p>]]></description>
			<author><![CDATA[null@example.com (apmuthu)]]></author>
			<pubDate>Tue, 26 Jul 2016 02:07:30 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=25865#p25865</guid>
		</item>
		<item>
			<title><![CDATA[How to properly track cash advances from employees]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=25863#p25863</link>
			<description><![CDATA[<p>Ok, here is my question.&nbsp; I have a client who takes out cash advances every week.&nbsp; How do I enter them into FA?&nbsp; Right now the way it is on his settlement statements that he gets they are shown as a deduction with the rest of his expenses.</p><p>When I enter the settlement statements into FA I just was creating an item called advances in the expense category but now that I think about it I need to set it up differently because it isn&#039;t an expense it&#039;s a draw on future earnings.&nbsp; Thanks for all your help in figuring out how to set this up correctly in FA.</p>]]></description>
			<author><![CDATA[null@example.com (myhandgunpursedotcom)]]></author>
			<pubDate>Tue, 26 Jul 2016 01:45:27 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=25863#p25863</guid>
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