On 2015-12-01 14:36, Carlos Eduardo Sotelo Pinto wrote:
> Dear Comunity
>
> I am working on accounting module and I have a question about accounting
> entryies, let me explain:
>
> I have notice that tryton use a default account entry, however, on my
> country ( Peru ) account flow is something like:
>
> 1. When an invoice is created, then an entry is created on debit.
> 2. Once the invoice is payed, the before a new entry is created on credit
> for pay the before entry. this both entryis are related to account entry
> number 12
> 3. two new entries are created on the payment for regiter the incoming,
> accounting entry 40 for the taxing authority and the 70 account entry for
> the incomes.
>
-------------------------------------- x ---------------------------------------
12 Cuentas por cobrar comerciales - terceros 413,000
121 Facturas
40 Tributos por Pagar 63,000
401 Gobierno Central
4011 IGV - Cuenta Propia
70 Ventas 350,000
701 mercaderías
14/03 Por la venta de 10,000 Unid. de Polos S/. 35 c/u
-------------------------------------- x ---------------------------------------
10 Efectivo y Equivalentes de Efectivo 413,000
104 Cuentas Corrientes
12 Cuentas por cobrar comerciales - terceros 413,000
121 Facturas
14/03 Por la cobranza efectuada de la venta de mercadería
-------------------------------------- x ---------------------------------------
<record model="account.account.template" id="pgc_213_child"> <field name="name">Maquinaria</field> <field name="parent" ref="pgc_213"/> <field name="code">213</field> <field name="reconcile" eval="False"/> <field name="kind">expense</field> <field name="type" ref="es_balance_normal_11220"/> <field name="deferral" eval="True"/> <field name="party_required" eval="False"/> </record>
you have an entry code, but how or where I must define the movements sequence ( like the chart that antonio have pasted ), is it part of the tryton configuration or is a sequence that I must to write on the code?
THanks a lot for your comments
best regards
> My question is, how will be the right way on create this workflow for
> accounting?
I don't think it is possible because what you describe goes against a
double entry accounting. Each debit must always be balanced by the same
credit, so the point 1 and 2 are not valid.
Tryton has strong enforcement for double entry principle.
PS: I find it strange that Peru doesn't use double-entry because this is
by far a world wide standard.
--
Cédric Krier - B2CK SPRL
Email/Jabber: cedric...@b2ck.com
Tel: +32 472 54 46 59
Website: http://www.b2ck.com/
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