Machinery is given on rent against we take Deposit from Customer but on maturity and return of machinery Deposit required to be returned,
hence these deposit amounts should be treated as liability account instead of Revenue Account.
Please guide on the setup of such transaction specifically to GL setup.
Reference requirement diagram for your reference
Review the RMCS system options for the correct accounts and see if this resolves the issue
Dear Pradnya,
In Oracle, Deposits are handled as below:
- You have to create onAccount receipt. Journal entry is as below:
Bank A/c Dr
To onAccount A/c Cr
- onAccount A/c will be defined as liability account. In the Natural account value set, keep account type as 'Liability'
If you want to flow invoice from Order management, then, you have to write SLA rules to modify revenue account to liability account.
We can discuss more on this during the session if required.
Regards,
Mohit