Use the following table for an overview of the type of setup required for a normal Accrual-based accounting system:
| Transaction | Debit | Credit | 
| Billings | Income Code Debit Account (Accounts Receivable) | Income Code Credit Account (Income of Expense Offset) | 
| Credit Adjustments | Income Code Credit Account (Income or Expense Offset) | Income Code Debit Account (Accounts Receivable) | 
| Miscellaneous Income | Bank Book Cash Account (Operating Cash) | Misc. Income Entry Account Number  | 
| All Resident Payments (Prior, Current, and Prepaid) | Bank Book Cash Account (Operating Cash) | Income Code Debit Account (Accounts Receivable) | 
| Returned Checks | Income Code Debit Account (Accounts Receivable) | Bank Book Cash Account (Operating Cash) | 
| Security Deposit Payments | Bank Book Cash Account (Security Deposit Cash) | Security Liability  | 
| SDI—Adjustments | SDI Interest Expense (Interest Expense) | SDI Liability Account (Interest Liability—Long Term) | 
| SDI Refunds | SDI Liability Account (Interest Liability—Long Term) | Security Refund (Interest Liability—Approved Refunds—Short Term) | 
| SDI Forfeits | Income Code Credit Account (Income) ---------------------------------------------------------------- SDI Liability Account (Interest Liability—Long Term | Income Code Debit Account (Accounts Receivable) | 
| Security Forfeits | Security Liability  | Income Code Debit Account (Accounts Receivable) | 
| Security Refunds | Security Liability  | Security Refund  | 
| Rent Refunds | Income Code Debit Account (Accounts Receivable) | Rent Refund Account (Refunds Payable) | 
| Write-Off | Write-Off Account  | Debit Account  | 
| Transaction | Debit | Credit | 
| Vacancy | Vacancy Code  | Vacancy Code  | 
| Prepaid Payments (Credit Balance by Code) | Income Code  | Income Code  | 
| Loss to Lease | Loss/Lease Debit Account  | Loss/Lease  | 
| Rentable Items  | Rentable Items  | Rentable Items Loss/Lease Credit Account  | 
See Also
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