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The Settings section of the Accounting tab allows you to define what data entries shall be collected and saved in the reports or (if the integration is on) sent to the accounting service provider. Each set of such entry types is collected a “Journal

You can add, delete and edit journals in the Tools → Accounting → Settings tab.

Create a Journal

In order to create a new Journal, click the New Journal button at the top left corner of the settings page.

Journal Line Settings

The “Edit journal” tab will emerge. Here you can specify the Journal lines, i.e. specific entry types.

Thus, the following fields shall be defined for each line:

  • Account: A non-hidden account from the Chart of accounts (whether created manually or synchronized with an integrated accounting service provider)

  • Amount: The type of entry, for which the data is collected.

    This includes:

    • Repayment transactions (Repaid amount)

    • Disbursement transactions (Disbursed amount)

    • Interest

    • Principal

    • All fees including those defined by TurnKey Level or the client anywhere in the credit products.

    • All customer-specific types of payments

  • Type: there are only two possible types:

    • Debit

    • Credit

Keeping the Balance

As you can see above, even once just opened to create a new Journal, the tab already has two lines - one of the Debit type and one of the Credit type.

Field

Type

Required

Description

Comments

Journal settings

section header

Batch creation start date

Input date

Yes

The date, when batches are created automatically. Can be in the past, present or  future

Journal name

Label string

Yes

Journal name 

Journal Description

Label string

No

Journal description

Add Journal

Button

No

The "Add journal" page is opened

Edit

Button

No

The "Edit journal" page is opened

Delete

Button

No

A confirmation message appears, and if confirmed, the account is deleted

Journal details

See New journal page

"New journal" / "Edit journal" Pages

The "New journal" and "Edit journal" pages are identical. 
When a New journal window emerges - it contains 2 predefined lines: one with operation 'Debit' and one with 'Credit'

Field

Type

Required

Description

Comments

Hint

Name

Input string

Yes

Journal name 

Xero = Narration

Description

Input string

No

Journal Description

Journal Lines

Account

Dropdown

Yes

Code from the chart of accounts

Account code from the chart of accounts

Account code from the Chart of accounts

Amount 

Dropdown

Yes

multiple selections
see the amount includes values

Amount period 

Dropdown

Yes

Period | Total

Type

Dropdown

Yes

Debit | Credit

Operation type

Dropdown

Yes

see the Operation types

Delete

Button

No

Delete the entry

Additional parameter

when developing keep in mind that in the course of customization we must be able to add additional parameters, e.g. Loan type or installment number

Add journal entry

Button

No

Add line

Save

Button

No

Save journal

Can't be saved if there is no at least one record with the Posting type 'Debit' and at least one record with the Posting type 'Credit'.

Save Button is disabled, error message is displayed

'For each Journal, there is at least one record with the Posting type 'Debit' and at least one record with the Posting type 'Credit'.

Close

Button

No

Cancel journal creation and close the window

Journal creation validation

Check

Error Message

What happens if fails 

For each Journal, there is at least one record with the Posting type 'Debit' and at least one record with the Posting type 'Credit'. 

Journal must have at least one Debit and one Credit record.

Journal can't be saved

Save Button is disabled, error message is displayed

For each Journal, there are no two lines within one Journal that have the same receiving account AND posting type

Duplicate lines

Manual Batch Creation

Operation types 

Operation type

Name in UI

Description

Accrued

Accrued

Accrued. Applicable only for disbursed loans and Initial payments

DIsbursed

Disbursed

Disbursed amount

Paid

Paid

Paid amount

Written off

Written off

The value that was written off as a result of writing-off 

RestructuredOldLoan

Before restructuring

The value that was written off as a result of restructuring

RestructurednewLoan

After restructuring

The new value is obtained as a result of restructuring

RestructuredDiff

Restructuring difference

The value that was added to the principal as a result of restructuring

  "Amount includes" values

Amount

Description

Disbursed amount

Disbursement transaction amount

Repaid amount

Repayment transaction amount

All fees

The sum of all fees, interest, and principal

All fees excluding principal

The sum of all fees and interest, w/o the principal

Principal

Principal

Interest

Interest

List of user-defined fees

List of all fee types created in the credit products

If Journal settings have been changed, the next closest batch is created based on the new settings.

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