Make the following menu selections to display this grid:
eFinancials—Partnership Accounting—Transactions
Use this grid to manage transactions for Partnership Accounting.
Refer the Partnership Accounting Overview for more information.
Fields Lists
NOTE that a red dot indicates a required field or selection.
Transaction Date
The date of the transaction, which for a new transaction defaults to the login date. To change the date, use the Electronic Calendarto select a date.
Accounting Date
The accounting date of the transaction, which for a new transaction defaults to the login date. To change the date, use the Electronic Calendarto select a date.
Transaction Type
Select the transaction type for the transaction.
Ownership Contribution (OC = Transaction Type) - Allows recording a transaction that affects the percentage (+ or -) that investor owns in a partnership. Note that the transaction dollar amount is not related to the percentage.
Non-Ownership Contribution (NC = Transaction Type) Allows recording a transaction that does not affect the percentage ownership in a partnership.
Manual Distribution (MD = Transaction Type) - Allows recording a distribution that was done outside of Partnership Accounting.
Total Amount
The total amount of the transaction.
Notes
Enter relevant notes in the text box (optional).
Transaction Detail Grid
Seq No
The system-generated sequential number associated with the line items that make up the transaction.
Investor
Click the Lookup icon to display the Select Investor pop-up and select the Investor ID for the transaction. These codes are added to the system using the Setup Investor grid.
Partnership ID
Click the Lookup icon to display the Select Partnership pop-up and select the Partnership ID for the transaction. These codes are added to the system using the Setup Partnership grid.
Description
The description defaults to the transaction type, (Ownership Contribution, Non-Ownership Contribution, Manual Distribution), unless it has been edited, that will be changed. When adding a new row, the description defaults from the previous row.
Amount
The amount of the transaction.
Percentage
The Ownership Contribution percentage for the transaction. This field appears only when the transaction type is Ownership Contribution.
Check number
The check number or reference number for a payment made to the investor. This field appears only when the transaction type is Manual Distribution.
Button
Save
Click to save your changes.
Procedures
See Also
Partnership Accounting Concepts Overview
Grid Footer Pagination Controls
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