General Ledger Assigned Account Settings
Access
Tabs: Accounts Payable, Accounts Receivable, Cash Balancing, Finance Receivable, Inventory, Sales, Service, Vendor Receivable, Multi-Company, Importing, Purchasing
Each module tab described below contains fields into which you specify default GL account numbers the system can use when posting transactions for that module. If GL account numbers for particular accounting categories are not found at the previous level in the account hierarchy, the system uses the default account numbers specified here.
For example, if posting a finance receivables usage fee, the system
-
checks for a usage fee in the Usage Fee GLA field in the Financing Payment Plan Settings. If none exists, the system
-
checks the Usage Fee Default field on the Finance Receivable tab in the General Ledger Control Settings. If no GL account number exists there, the system
-
uses the GL master account specified at the GL Account Number Default in the General Ledger Control Settings.
Many GL accounts allow you to enter a wild card in place of the cost center.
At each GL account field on these tabs, you can click the Action button to access the GL Account Entry Screen.
STORIS determines the cost center for transactions and AR balances based on the location assigned to the customer, regardless of the location at which transactions occur. Customer store assignment resides at the Store Assignment field on the Point of Sale tab in the Advanced Customer Settings.
Accounts Payable
For each account description below, the account type lists first. Note that some of the fields on this tab reject any cost center you enter and require you to use the No Cost Center Indicator. To specify the No Cost Center Indicator, use the General Cost Center Indicator field in General Ledger Control Settings.
If either of the below "Paid with" GL accounts is not specified, the system uses the Bank AP Cash GL account.
Accounts PayableThis account is credited during AP bill entry and debited through accounts payable check processing. If using STORIS Accounting, this account is credited for customer refunds and debited through accounts payable check processing.
Sales Tax Expense Account
This account is sales tax charged on an invoice from the vendor and therefore gets paid through the AP bill process. It gets debited at time of AP bill entry.
This account is distinct from the Sales Tax Payable account defined on the Sales tab.
Terms Discount Other Current Liability
Cash discounts earned based upon timeliness of payments, and credited during check processing in your accounting package.
Freight Expense or Liability
Freight charged on a vendor invoice gets paid through the AP bill process. Either debited to expense or credited to liability if using landed costing.
Miscellaneous DebitExpense or Liability
This account may be used for additional charges and fees, expenses, posted through the AP bill process.
Received Not Recorded Liability
This is the account that merchandise values are posted to upon receipt, before the AP bill process. Upon creating the AP bill, the previous posting to this account is reversed.
Returned Not Recorded Liability
This is the account that merchandise values are posted to after they are returned to the vendor, before credit is received from the vendor. Upon processing the credit AP bill, the previous posting to this account is reversed.
Delivered Not RecordedLiability
This is the account that merchandise values are posted to upon completion of a direct-ship order but prior to paying for the merchandise. Accounts Payable account that is credited during the completion of a sales order and debited once the AP bill is processed.
If using the Direct Shipments feature, this field is mandatory.
Exported Not RecordedSuspense
This is the account that is temporarily used when printing checks on a third party package. When the Export Payable Checks process is run, a debit is posted to this account and a credit is posted to Accounts Payable. When the Import Completed Checks process is complete then a credit is issued to this account and a debit is posted to Accounts Payable.
Direct-Ship Value Difference Cost of Goods Sold
This account is debited/credited if there is a price difference between the purchase order and the AP Bill.
This field is mandatory if using the Direct Shipments feature.
Non-InventoryExpense
Use this account for non-inventory goods and services such as labor, fabric protection, and warranties.
COM ValueOther Current Asset
COM (customer’s own materials) is merchandise ordered from one vendor and sent to another vendor to complete the special order product. This is a suspense account which is credited during warehouse receipts of finished goods and debited through AP bill processing.
Customer Refunds Payable
Paid with CashThis field is used only when STORIS AP Processing is active. The GL account entered here is credited (instead of Cash in Bank) when manually paying an AP Bill (via Enter Multiple Vendor Invoices) using the Cash payment type. This account always uses the "no cost center" indicator.
This field is inactive when the GL module is not active.
Paid with Credit CardThis field is used only when STORIS AP processing is active. The GL account entered here is credited (instead of Cash in Bank) when manually paying an AP Bill (via Enter Multiple Vendor Invoices) using the Credit Card payment type. This account always uses the "no cost center" indicator.
This field is inactive when the GL module is not active.
EFT Payment
Recorded Not ReceivedReceivable (asset)
When paying a Pending Bill, this account is the debit offset to the credit to Cash in Bank. When the merchandise has been received and the pending bill is converted then this account is credited to offset the debit to Inventory Value as well as Freight, Tax, and Miscellaneous (if applicable). This account always uses the "no cost center" indicator.
Accounts Receivable
For each account description below, the account type is listed first.
Accounts Receivable
Accounts Receivable AdjustmentsExpense
Adjustment amounts written off in A/R cash application screen. This account is offered as the offset to AR.
Bad DebtsExpense
Amounts charged off through Accounts Receivable Bad Debt Entry.
Bad Debt Repossession
Deposit Liability Other Current Liability
All money posted to customer open orders through the Accounts Receivable and Sales Order Entry programs. The account is credited through these processes and debited during sales order completion.
Gift Certificate Other Current Liability
Gift Certificates post to this account if the Gift Certificate Payment Type file does not contain a General Ledger account number. This account is credited when gift certificates are purchased and debited when they are redeemed.
Service Charges Income
Open Item Receivable service charges billed to customers on overdue balances.
Gift Certificate RewardsOther Current Liability
This account is used when a gift certificate is issued using reward points.
Installment AdjustmentsThe General Ledger account number you enter in this field is used in conjunction with the Installment Payment Plan Settings as the default posting for all balance adjustments made via Manage and Adjust Installment Contracts or Automatic Sales Document Credits. This field is active only if Advanced Receivables is active on your system.
Installment Deferment FeesThe General Ledger account number you enter in this field is used in conjunction with the Installment Payment Plan Settings as the default posting when deferring a payment in the deferment portion of Manage and Adjust Installment Contracts for the fee that can be assessed. This field is active only if Advanced Receivables is active on your system.
Installment Late FeesThe General Ledger account number you enter in this field is used in conjunction with the Installment Payment Plan Settings as the default posting for all late fee adjustments completed during Cycle Processing. This field is active only if Advanced Receivables is active on your system.
Installment Miscellaneous FeesThe General Ledger account number you enter in this field is used in conjunction with the Installment Payment Plan Settings as the default posting for all non-filing fees during the contract activation portion of Cycle Processing. This field is active only if Advanced Receivables is active on your system.
NSF Check ChargeIncome
This account will be credited when NSF (that is, insufficient) check charges are applied to a customer’s account. The cash account will be debited when payments are received.
Manual Posting Income
This account will be posted to when manual adjustments are made in Open Item Receivables.
Revolving AdjustmentsThe General Ledger account number you enter in this field is used in conjunction with the Revolving Receivables Payment Plans settings as the default when posting balance adjustments completed via the Adjust Revolving Plans routine, Adjust Balance action. This field is active only if Revolving Receivables is active on your system.
Revolving Late FeesThe General Ledger account number you enter in this field is used in conjunction with the Revolving Receivables Payment Plans settings as the default when posting all late fee adjustments completed via the Adjust Revolving Plans routine, Update MMP action. This field is active only if Revolving Receivables is active on your system.
Terms Discount – COSCost of Goods Sold
Discounts given to customers for timely payment of their AR balance.
Sales Tax Adjustments for Charge-offs
Cash Balancing
For each account description below, the account type is listed first.
Over or ShortIncome or Expense
During the cash balancing process, if a drawer fails to balance, the system debits or credits this account with the difference. The system also posts to this account during the Reconcile Cash Drawer process.
Use the next two fields, Prompt and GL Account, to establish the prompt text and GL accounts used when entering petty cash disbursements via the Petty Cash Disbursement screen. Up to 60 sixty prompts and corresponding GL accounts can be entered on this screen. (The Petty Cash Disbursement screen is available from the Balance a Cash Drawer and Balance Approval by Manager routines and is used to disburse an operator-entered petty cash payment amount.)
PromptEnter the prompt name you want to appear on the Petty Cash Disbursement screen, for example "Postage".
GL AccountEnter the account you want to hit when petty cash amounts are entered for the current petty cash type.
Finance Receivables
For each account description below, the account type is listed first.
Finance Receivable
AdjustmentsExpense
This account is used when making manual post adjustments to finance receivable transactions.
Usage Fee DefaultExpense
The system uses this account if the Usage Fee GL Account field in the finance payment type is empty. This account is debited when the transaction posts to Finance Receivables.
Customer Payments
Inventory
For each account description below, the account type is listed first.
Inventory TransfersOther Current Asset
This account is used when transfers of inventory occur between stores via the Sales Order Entry or Inventory Adjustment programs.
Inventory Value Other Current Asset
Enter your default inventory value account. This account records the total value of your inventory. It debits through programs such as Inventory Adjustments and the PO receiving routines. It credits through programs such as order completion and PO un-receiving. Note that the Inventory field in both Product Group and Product Category overrides this field.
Inventory COSCost of Sales
Enter your default COS account. This account debits during sales order completion in order to record the cost of merchandise. Note that the Cost of Sales field in both Product Group and Product Category overrides this field.
Inventory Adjustment Expense
Enter your default inventory adjustment account. This account offsets inventory during inventory adjustments. Note that the Inventory Adjustment field in both Product Group and Product Category overrides this field.
Valuation DifferenceCost of Goods Sold
Cost discrepancies for merchandise no longer part of the company’s inventory post a debit to this account.
Cost Exceptions Other Current Asset
Cost discrepancies for merchandise still owned by the company post a debit to this account. Resolution of cost exceptions credit this account.
Landed Freight Asset Other Current Asset
This account is debited during warehouse receipts and credited during sales order completion.
Landed Freight Liability Other Current Liability
This account is credited during warehouse receipts and debited during AP bill entry.
As-Is Write-off Expense
This account is debited when merchandise with an as-is status is removed/written off from the inventory through the Write Off tab in the Enter a Stock Adjustment routine.
Vendor Chargeback Adjustment
Sales
For each account description below, the account type is listed first.
Sales Postings
Posting Method
Sales
Customer Returns
Exchange Sale
Exchange Return
Debit Dollar Adjustment
Credit Dollar Adjustment
Sales Tax Payable (STORIS)Other Current Liability
This account is the sales tax collected from customers and credited during sales order completion. This field is used only if the General Ledger Account field in the Sales Tax file is left blank for a given jurisdiction.
Customer DiscountExpense
Sales order discounts debit this account during sales order completion.
Delivery ChargeIncome
Delivery charges entered in the delivery field in sales order credit this account during sales order completion.
Installation ChargeIncome
Installation and credit memo restocking charges credit this account during sales order completion.
Miscellaneous Fee/ChargeOther Current Liability
Enter the default general ledger account number (if any) to which you want to post all miscellaneous fees and charges for which an account number does not exist in the Miscellaneous Fee Settings. If you click on the Action button, the GL Account Entry Screen appears from which you can select an account number.
Repossession SalesEnter the default general ledger account number to which you want to post all repossession sales. If you click on the Action button, the GL Account Entry Screen appears from which you can select an account number.
Repossession Cost of SalesEnter the default general ledger account number to which you want to post all repossession cost of sales. If you click on the Action button, the GL Account Entry Screen appears from which you can select an account number.
Service
For each account description below, the account type is listed first.
Part SalesIncome
This account is credited with parts sales during service order completion.
Part Costs of SalesCost of Goods Sold
This account is debited with cost of parts during service order completion
Labor SalesIncome
This account is credited with labor sales during service order completion.
Labor Cost Of SalesCost of Goods Sold
This account is debited with the cost of labor sales during service order completion
Labor Costs ValueOther Current Asset
Account used to record the value of your labor.
Charge SalesIncome
This account is credited with charge sales during service order completion.
Charge Cost Of SalesCost of Goods Sold
This account is debited with the cost of charges during service order completion
Charge Costs ValueOther Current Asset
Account used to record the value of your charges.
Receivables from Vendor
Vendor Receivables
For each account description below, the account type is listed first.
The following accounts are mandatory only if the Vendor Receivables module is active on your system.
Vendor ReceivableOther Current Asset
Receivables owed to your Company by vendors for bill backs, volume rebates, or manually posted receivables.
AdjustmentsExpense
Amounts written off in V/R cash posting.
Manual Post OffsetExpense
This account is used when making manual post adjustments to a vendor’s receivable account.
Multi-Company
For each account description below, the account type is listed first.
Multi-Company Due ToOther Current Liability
Enter the account number to use for inter-company transactions in which money moves into a company.
Multi-Company Due FromOther Current Asset
Enter the account number to use for inter-company transactions in which money moves out of a company.
Importing
Landed Add-On 1 AssetOther Current Asset
Additional costs (for example, broker’s fees, import duties, etc.) which are included in the cost of the item. This account is debited during warehouse receipts and credited during sales order completion.
Landed Add-On 1 Liability Liability Other Current Liability
This account is credited during warehouse receipts and debited during AP bill entry.
Landed Add-On 2 AssetOther Current Asset
Additional costs (for example, broker’s fees, import duties, etc.) which are included in the cost of the item. This account is debited during warehouse receipts and credited during sales order completion.
Landed Add-On 2 LiabilityOther Current Liability
This account is credited during warehouse receipts and debited during AP bill entry.
Landed Add-On 3 AssetOther Current Asset
Additional costs (for example, broker’s fees, import duties, etc.) which are included in the cost of the item. This account is debited during warehouse receipts and credited during sales order completion.
Landed Add-On 3 LiabilityLiability Other Current Liability
This account is credited during warehouse receipts and debited during AP bill entry.
Landed Add-On 4 AssetOther Current Asset
Additional costs (for example, broker’s fees, import duties, etc.) which are included in the cost of the item. This account is debited during warehouse receipts and credited during sales order completion.
Landed Add-On 4 LiabilityOther Current Liability
This account is credited during warehouse receipts and debited during AP bill entry.
Purchasing
Use this tab to determine how rebates impact the general ledger. You may select a wild card in place of the cost center.
Rebate Revenue
Rebate Contra-Revenue