MYOB Greentree

HideShow

  • Contents
  • Index
  • Search
 
Display results with all search words

 

Disbursements Entry


Use this form to enter job disbursement transactions, which represent expenditure for a job, not directly related to labour or purchases. You can access this form from JC Maintenance or from the Data Entry > Job Cost menu.

Options Reference

Each option and field on the form is described below. Mandatory options and fields are highlighted in red.

Batch

This updates with Greentree-generated transaction batch number when the first transaction is saved.

Branch

The default value is the branch assigned in JC Module Control. You can change the batch.

Last Reference Number

This field displays the reference number of the last transaction saved in the batch.

Disbursement Detail

Enter a transaction reference, up to 15 characters long. The date defaults to today's date. You can change the date. The posting date defaults to the date entered here, and the period end date updates to the end date of the period in which the posting date falls.

Totals

Greentree Desktop updates the Totals fields as you enter disbursement lines. These fields represent the total quantity, cost, and selling price values of the current reference.

Line Details

You can enter disbursement lines after saving the header or by using the Line Items form. The Date defaults to the header document date, but it can be changed to represent the date of the disbursement. Select the Job the disbursement relates to.

Select an activity code for the transaction - you will only be able to select activity codes that are of type Disbursement. The Work Centre defaults to the activity code's default work centre, but you can change it.

Enter the Quantity associated with the disbursement. This is multiplied by the Cost to determine the total line cost. Disbursement costs are derived based on the activity code.

Click the Save icon to save disbursement lines.

You can recall transactions to edit or delete them as long as the cost has not yet been invoiced, and the transaction posting period is still open.

You can view transactions for any job on the Transactions tab within JC Job Maintenance.

Information

If the Fixed Asset module is in use, and the FA Module Control option Post Depn to Job Cost is selected, depreciation costs associated with job assets update to the job when depreciation is calculated.

You can generate disbursements using the CRM Service & Support module.