This topic provides information about accounting distributions and describes the options that are available for processing them. Accounting distributions are used to allocate monetary amounts for a source document to specific ledger accounts.
Accounting distributions are a program-wide capability that is used and extended by each source document, such as a purchase order, vendor invoice, expense report, and free text invoice. By default, a default accounting distribution is generated for each source document line and monetary amount, and is conditionally enabled for modification.
Some documents also support header document monetary amounts, such as charges for orders and invoices.
The generic accounting distribution capabilities provide the following options for processing accounting distributions:
- Distribute amounts – View and modify the accounting distributions for an individual document header or line and any child lines, such as taxes or charges.
- For the top monetary amount distributions (parent distributions), the main account and financial dimensions might be editable directly in the segmented entry control in the grid. The extended price is a typical example of such a parent distribution.
- The distributions amounts are based on the term currency for the document. Typically, this currency is the transaction currency. Accounting and reporting currency amounts are generated as part of subledger accounting.
- The distributions display the accounting date and accounting event. Typically, the accounting event is set to None until the document is posted/journalized. At that point, the accounting event becomes Original. After the distributions have been posted, you can't modify the distributions.
- Split button might be enabled for parent distributions. Split generates new accounting distributions, and the split can be based on percentage, amount, or quantity.
- The Distribute equally button can be used in combination with Split to automatically allocate the amount equally across all distributions.
- Reset button might be enabled for parent distributions when more than one distribution exists. Reset reverses any manual modification to the distribution by deleting all existing distributions and re-generating the default distributions.
- Any child distribution, such as discount, charge, and sales tax, always follows the parent distribution. You can view the parent/child relation at Reference > Parent information.
- The main account and financial dimension might also be editable for children.
- The financial dimensions on the accounting distributions follow a defaulting pattern that a document can extended.
- Variance distributions might be generated in matching scenarios, such as matching between a vendor invoice and a purchase order. You can view the matching relations between accounting distribution at Reference > Document information.
- Correct button appears and is enabled for documents that support corrections. Correct creates new distributions. First, distributions are created that reverse the original distributions. These distributions can't be modified. Next, new correct accounting distributions are created. These distributions can be modified if the original distributions could be modified.
- The Project details button is enabled as an extension when a line is related to a project. Project accounting distributions let you modify details such as the funding source and line property.
- You can view the current document accounting status in Reference. The status is for the entire document, and indicates whether the document is in process or completed.
- View distributions – View the accounting distributions for all lines and monetary amounts on the document. You can't modify the accounting distributions from this view.
In version 10.0.13, a feature has been added that validates the accounting distribution table to ensure that new fields are properly set up. This feature is called Enable additional validation of data for documents using the source document accounting framework. To use the feature, you must enable it using the Feature management workspace. To enable the feature, search for the feature name in the Search field on the Feature management page, and then select Enable now.
For more information, see Accounting distributions and subledger journal entries for vendor invoices.