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		<title><![CDATA[FrontAccounting forum — How to allocate the Payment to Supplier A to the Invoice of Supplier B]]></title>
		<link>https://frontaccounting.com/punbb/viewtopic.php?id=7146</link>
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		<description><![CDATA[The most recent posts in How to allocate the Payment to Supplier A to the Invoice of Supplier B.]]></description>
		<lastBuildDate>Mon, 27 Nov 2017 00:43:07 +0000</lastBuildDate>
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			<title><![CDATA[Re: How to allocate the Payment to Supplier A to the Invoice of Supplier B]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=29775#p29775</link>
			<description><![CDATA[<p>@andijani: Excellent way.</p><p>This can be a Standard Operating Procedure in such instances for all FA users.</p><p><a href="https://frontaccounting.com/fawiki/index.php?n=Help.Purchases">Wiki</a>-ed it.</p>]]></description>
			<author><![CDATA[null@example.com (apmuthu)]]></author>
			<pubDate>Mon, 27 Nov 2017 00:43:07 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=29775#p29775</guid>
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			<title><![CDATA[Re: How to allocate the Payment to Supplier A to the Invoice of Supplier B]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=29774#p29774</link>
			<description><![CDATA[<p>Thank you for suggestions.&nbsp; I was able to close the loop by creating a supplier credit note Supplier A (freight forwarder) for Foreign Exchange Gain/Loss Account.&nbsp; (original invoice is for Freight account)<br />This same Foreign Exchange Gain/Loss account was used to create Supplier Invoice for Supplier B (forex broker).</p>]]></description>
			<author><![CDATA[null@example.com (andijani)]]></author>
			<pubDate>Mon, 27 Nov 2017 00:41:25 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=29774#p29774</guid>
		</item>
		<item>
			<title><![CDATA[Re: How to allocate the Payment to Supplier A to the Invoice of Supplier B]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=29750#p29750</link>
			<description><![CDATA[<p>By Credit Supplier B Invoice - GBP 1000 booked as CAD 1800 (based on the exchange rate for the day.<br />Debit Purchases for CAD 1800.</p><p>By Bank Credit Cheque issued&nbsp; CAD 1800<br />To Debit Supplier A (the 3rd party currency exchange broker) - CAD 1800.</p><p>When the money is wired as Forex to Supplier B:<br />By Credit Supplier A - CAD 1800 (wired as GBP 1000)<br />To Debit Supplier B - CAD 1800</p><p>If the Supplier B needs to have their accounts settled in GBP, then make the entries in GBP for them and how they get paid, keeping the CAD for local account heads only.</p><p>Payments made to Supplier A (appropriately GBP adjusted to CAD) can also be treated as having been made on behalf of Supplier B and allocations made in GBP itself.</p><p>Please consult your accountant on making journal entries such as this.</p>]]></description>
			<author><![CDATA[null@example.com (apmuthu)]]></author>
			<pubDate>Sat, 25 Nov 2017 03:23:27 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=29750#p29750</guid>
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			<title><![CDATA[How to allocate the Payment to Supplier A to the Invoice of Supplier B]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=29749#p29749</link>
			<description><![CDATA[<p>Hello,</p><p>We are using a 3rd party currency exchange broker to pay our supplier overseas.&nbsp; Looking for a solution to allocate these transactions. </p><p>Supplier A sends us their invoice for GBP 1000 for services provided. We then exchange CAD to GBP with Supplier B and create Payment to Supplier B for CAD 1800.&nbsp; Supplier B wires the payment on our behalf to Supplier A. </p><p>Has anyone come across the situations like this? How do we go about allocations? </p><p>Thank you,<br />Jack</p>]]></description>
			<author><![CDATA[null@example.com (andijani)]]></author>
			<pubDate>Fri, 24 Nov 2017 23:12:58 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=29749#p29749</guid>
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