Cash-Based System Setup

Use the following table for an overview of the type of setup required for a normal Cash-based accounting system:

Transaction

Debit

Credit

Billings

No Interface

No Interface

Credit Adjustments

No Interface

No Interface

Miscellaneous Income

Bank Book Cash Account (Operating Cash)

Income Code Credit Account (Income or Expense Offset)

All Resident Payments (Prior, Current, and Prepaid)

Bank Book Cash Account (Operating Cash)

Income Code Credit Account (Income or Expense Offset)

Returned Checks

Income Code Credit Account (Income or Expense Offset)

Bank Book Cash Account (Operating Cash)

Security Deposits

Bank Book Cash Account (Security Deposit Cash)

Income Code Security
Liability
(Security Deposit Liability—Long Term)

SDI—Adjustments

Income Code SDI Interest
Expense
(Interest Expense)

Income Code SDI Liability Account
(Interest Liability—Long Term)

SDI Refunds

Income Code SDI Liability Account
(Interest Liability—Long Term)

Income Code Refund
(Interest Liability—Approved Refunds—Short Term)

SDI Forfeits

No Interface

No Interface

Security Forfeits

Income Code Security Liability
(Security Deposit Liability—Long Term)

Income Code Credit Account (Income or Expense Offset)

Security Refunds

Income Code Security Liability
(Security Deposit Liability—Long Term)

Income Code Credit Account (Income or Expense Offset)

Rent Refunds

Income Code Credit Account (Income or Expense Offset)

Income Code Refund
(Refunds Payable)

Write-Off

No Interface

No Interface

Vacancy

No Interface

No Interface

Prepaid Payments

No Interface

No Interface

Loss to Lease

No Interface

No Interface

Rentable Items/Loss Lease

No Interface

No Interface

See Also

Transfer to G/L Overview

Transfer to eFinancials

Change Market Rents Overview

Processing Overview

 

Copyright © 2018 Infor. All rights reserved. www.infor.com.