Viewing account posting information
This page allows you to view the posting information of a selected transaction in a finance book. You can select the number identifying the transaction and view the details of the account in which the transaction has been posted. You can view details of the transaction like the amount transacted in the base currency and the parallel base currency and the exchange rate if the transaction currency is different. You can also view the details like the type of the transaction, the finance book in which the transaction has been posted and the date on which the posting has been done. If the account has been mapped to a cost center, you can also view the cost center details along with the code identifying the analysis and sub-analysis.
Select the “Accounting Information” link at the bottom of the page.
The “Accounting Information” page appears.
Enter the following field to retrieve the posting details of the selected transaction number.
Transaction No |
Use the drop-down list box to select the number identifying the transaction for which you want to view the details. All the numbers identifying the transactions that have taken place while raising a claim, settling a claim, reversing a claim or while adjusting, a payment voucher will be available for selection in the ascending order. |
The system displays the following:
Transaction Type |
The type of the transaction. It could be “Insurance Claim Voucher”, “Insurance Settlement Voucher”, “Claim Reversal Voucher” and “Adjust Payment Voucher”. |
Transaction Date |
The date on which the transaction took place. |
Financial Posting Date |
The date on which the financial postings were made. |
The system displays the following in the “Accounting Information” multiline:
Account Code |
The code identifying the account in which the posting was made. |
Dr. / Cr. |
Indicates whether the voucher has been debited or credited in the account. |
Currency |
The currency in which the account details have been posted. |
Transaction Amount |
The amount of the voucher. |
Finance Book |
The code identifying the finance book in which the account has been posted. |
Cost Center |
The cost center that has been mapped to the account code. |
Analysis Code |
The analysis code that has been mapped to the account code. |
Sub analysis Code |
The sub-analysis code that has been mapped to the analysis code. |
Base Currency Exchange Rate |
The exchange rate with respect to the base currency if the transaction currency is different from the base currency. |
Base Amount |
The amount of the voucher in the base currency. |
Parallel Base Currency Exchange Rate |
The exchange rate with respect to the parallel currency of the company, if the transaction currency is different from the parallel currency. |
Note: The system displays the code identifying the currency only if a parallel base currency has been defined for the company.
Parallel Base Amount |
The amount of the voucher in the parallel base currency. |
Transaction Type |
The type of the transaction. |
Transaction No |
The number identifying the transaction. |
Account Description |
A textual description of the account code |