Add a New Journal Entry File
You can add a new journal entry file in Transaction Entry.
To add a new file, complete the following steps:
- From the Vision Navigation menu, click Transaction Center > Transaction Entry.
- In the Transaction Type field on the Transaction Entry form, select Journal Entries.
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Click
New.
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On the New File dialog box, complete the following actions:
- In the File Name field, enter a name for the transaction file.
- If this will be a recurring transaction, select the Recurring option.
- In the End Date field, enter or select the ending date for the transaction file.
- If you use Multicurrency, use the Currency field to specify the currency for the journal entry.
- Optional. In the Control Total field, enter an amount.
- Click OK.
The dialog box closes and the transaction file opens on the Journal Entries form.
- Complete the header fields on the Journal Entries form to specify the reference number, date, description, and journal entry type (accrual, cash, or both).
- If you want to include the amount of this journal entry when Vision calculates job-to-date billings for the referenced project, select the Update project billing amount when adjusting option.
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To specify line items for the transaction file, add rows to the grid; each row represents a single line item.
Option Description To add a new line item Place the row selector on the row above where you want to add the new line item and click Insert.
To add a new line item that is similar to an existing one Place the row selector on the row that you want to copy and click Copy. Modify the data on the new row.
To delete a line item Place the row selector on the row and click Delete.
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Click
Save.
The fields below the grid display summary information for the transaction file.