Accounts Payable: Customer Procedure for Contras
The A/R A/P Contra
Before proceding:
You will need an account for the A/P A/R Contra Clearing. This is a balance sheet "wash" account. When all parts of this transaction are complete, this account should return to a zero balance.
IN the A/R system - Create an Allowance code for Contra - using the A/P A/R Contra Clearing account.
A/P System
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Voucher the original Invoice from Vendor: Voucher full invoice amount to appropriate expense accounts.
Debit Credit Expense A/P
Debit | Credit |
Expense | A/P |
Voucher a negative invoice for the amount of the Contra (the amount to write off of the A/R invoice) Distribute this amount to the A/P A/R Clearing account.
Debit Credit A/P AR-AP Clearing
Debit | Credit |
A/P | AR-AP Clearing |
A/R system:
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Make sure the original invoice has been billed:
Debit Credit
A/R Sales
Debit | Credit |
A/R | Sales |
In Cash posting, post an allowance for the contra amount toward the invoice. Use the Contra Allowance code.
Debit Credit AR-AP Clearing A/P
Debit | Credit |
AR-AP Clearing | A/P |
Example 1:
Contra where the A/R invoice is greater than the A/P Invoice.
Original Invoice:
A/R Invoice: $2500 A/P INvoice: $2000
Assuming the A/P invoice is vouchered, and the A/R invoice has been billed.
In A/P system:
- In Hand Written Checks: Enter vendor ID, Select Original Invoice and set check amount to $-2000.
- Voucher a new invoice for $-2000, Set Check amount to $-2000. Distribute to the A/P A/R Contra Clearing Account.
In A/R system:
- In cash posting, apply an allowance to the invoice(s) using the Contra Allowance Code.