Intercompany Billing Options Tab
Use the Options tab to select report options for the Intercompany Billing report.
Originating Organization
Field | Description |
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Originating Organization | Select the originating organization for which you want to see intercompany transactions.
Cash receipts work the opposite way. The company that posts the cash receipt (the company that receives the payment) has to distribute cash back to the companies (based on the invoices and projects entered) for the cash receipt line items. |
Target Organization
Field | Description |
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Target Organization | Select the target organization for which you want to see intercompany transactions. The target organization is the company that owns the project charged for the labor or expenses. |
Intercompany Billing Runs
Field | Description |
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Seq | This column displays the sequence number assigned to the file during the intercompany billing process. For a draft run, this field contains Draft. |
Run Date | This column displays the date on which the intercompany billing process was run. |
Description | For a draft intercompany billing run, this field contains
Draft Run.
For a final intercompany billing run, this field contains the description specified in the Run Description field on the General tab of the Intercompany Billing form in Accounting. |
Parent Topic: Intercompany Billing Detail Report