Agency Bill: Adjust Client Receivable - Client Paid Carrier Direct

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Revision as of 20:23, 14 October 2014 by Mlively (Talk | contribs) (removed category)
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The procedure details the transactions required to adjust the Agency Bill client accounts receivable (GL 1120) when the client payment was paid directly to the carrier. The carrier will then send a commission check or credit the account current.

Adjust the Invoice

Adjust Client Receivable Balance

  1. Load the Client on one of the four Client Tabs.
  2. Select the Account tab at the bottom of the basic tab.
  3. Double-Click the line to expand the details.
  4. Double-Click the first invoice line to open the invoice in Express Billing.
  5. Double-Click the invoice line in the bottom display section to open the line details.
  6. Select Adjust.
  7. Enter the amount paid direct to the carrier as a credit (-) in the amount field.
  8. Select Tab to the Offset GL field and enter 2110 with Sub GL company code.
  9. Enter a Description. (Example: Paid Direct to Carrier)
  10. Select Accept then Finish close the invoice line details.
  11. Select Payments -> Client. Document the Journal Number created. (Example: Journal 55)
Do not exit Express Billing.

Adjust Company Payable Balance

  1. Double-Click the invoice line in the bottom display section to open the line details.
  2. Select Adjust.
  3. Select Adjust This Invoice Line With -> An Existing Journal.
  4. Enter The Offset Journal Number. (Next numerical journal number after Step 10. Example: Journal 56)
  5. Select Accept then Finish to close the invoice line details.

Process the Company Balance

Receive Commission Check From Company

If the company does not credit the account current, use the steps below to create a receipt of money from the company for the commission.

  1. Select AP -> Reconcile Payables.
  2. Enter the Company Code on the invoice line.
  3. Verify the date range includes the agency bill return premium invoice.
  4. Select Ok.
  5. Right-Click on the invoice, and select Pay This Invoice In Full.
  6. Select Payment Details at the bottom of the reconcile window.
  7. Change the action to Create A New Cash Transaction To Pay.
  8. Enter the details for the cash receipt, and select Ok.
  9. When finished select Perform Reconciliation to create the cash and pay the company balance.