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	<title type="html"><![CDATA[FrontAccounting forum — Import Transactions - Supplier payments Confusion]]></title>
	<link rel="self" href="https://frontaccounting.com/punbb/extern.php?action=feed&amp;tid=9124&amp;type=atom" />
	<updated>2020-12-19T15:00:20Z</updated>
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	<id>https://frontaccounting.com/punbb/viewtopic.php?id=9124</id>
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			<title type="html"><![CDATA[Re: Import Transactions - Supplier payments Confusion]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=38788#p38788" />
			<content type="html"><![CDATA[<p>On further investigation, using GL enquiry<br />they show up with a link to a non-existent &#039;Work Order 24&#039;<br />24 is the person_id of the supplier.</p><p>Clearly the payments are not getting allocated to the supplier...</p>]]></content>
			<author>
				<name><![CDATA[drgrumpy]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=40696</uri>
			</author>
			<updated>2020-12-19T15:00:20Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=38788#p38788</id>
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		<entry>
			<title type="html"><![CDATA[Import Transactions - Supplier payments Confusion]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=38787#p38787" />
			<content type="html"><![CDATA[<p>I am confused by what it says in the wiki and what seems to happen.</p><p>I imported a batch of payments to a supplier using Import transactions - Payments processing</p><p>I set the person_type_id to 1 and the person_id to the id of the supplier (obtained from the lookup)<br />I set the account code to credit control account.</p><p>I expected that after import according to the wiki they would be available to allocate...<br />but they are not.</p><p>In the wiki it says:<br />5.&nbsp; Currently supplier payments are allocated using the extensions Payment Processing not Journal Processing.<br />[So I used Payment processing]<br />6. Allocate receipts using the extensions Deposit Processing. The Sales Ledger is updated and the amount(s) await to be allocated under FA/Sales/Allocate Customer Payments or Credit Notes.<br />7. If the Purchases Ledger is updated on import, then amount(s) await to be allocated under FA/Purchases/Allocate Supplier Payments or Credit Notes. This is where you will find evidence of the success of the import.&nbsp; <br />[How does one force the Purchases Ledger to be updated]</p><p>Have I got the procedure wrong ?</p>]]></content>
			<author>
				<name><![CDATA[drgrumpy]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=40696</uri>
			</author>
			<updated>2020-12-19T13:02:15Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=38787#p38787</id>
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