Microsoft Dynamics GP. VAT Daybook

Size: px
Start display at page:

Download "Microsoft Dynamics GP. VAT Daybook"

Transcription

1 Microsoft Dynamics GP VAT Daybook

2 Copyright Copyright 2008 Microsoft Corporation. All rights reserved. Complying with all applicable copyright laws is the responsibility of the user. Without limiting the rights under copyright, no part of this document may be reproduced, stored in or introduced into a retrieval system, or transmitted in any form or by any means (electronic, mechanical, photocopying, recording, or otherwise), or for any purpose, without the express written permission of Microsoft Corporation. Notwithstanding the foregoing, the licensee of the software with which this document was provided may make a reasonable number of copies of this document solely for internal use. Trademarks Microsoft and Microsoft Dynamics are either registered trademarks or trademarks of Microsoft Corporation or its affiliates in the United States and/or other countries. FairCom and c-tree Plus are trademarks of FairCom Corporation and are registered in the United States and other countries. The names of actual companies and products mentioned herein may be trademarks or registered marks - in the United States and/or other countries - of their respective owners. Unless otherwise noted, the example companies, organizations, products, domain names, addresses, logos, people, places, and events depicted herein are fictitious. No association with any real company, organization, product, domain name, address, logo, person, place, or event is intended or should be inferred. Intellectual property Microsoft may have patents, patent applications, trademarks, copyrights, or other intellectual property rights covering subject matter in this document. Except as expressly provided in any written license agreement from Microsoft, the furnishing of this document does not give you any license to these patents, trademarks, copyrights, or other intellectual property. Warranty disclaimer Microsoft Corporation disclaims any warranty regarding the sample code contained in this documentation, including the warranties of merchantability and fitness for a particular purpose. Limitation of liability The content of this document is furnished for informational use only, is subject to change without notice, and should not be construed as a commitment by Microsoft Corporation. Microsoft Corporation assumes no responsibility or liability for any errors or inaccuracies that may appear in this manual. Neither Microsoft Corporation nor anyone else who has been involved in the creation, production or delivery of this documentation shall be liable for any indirect, incidental, special, exemplary or consequential damages, including but not limited to any loss of anticipated profit or benefits, resulting from the use of this documentation or sample code. License agreement Use of this product is covered by a license agreement provided with the software product. If you have any questions, please call the Microsoft Dynamics GP Customer Assistance Department at (in the U.S. or Canada) or Publication date March 2008

3 Contents Introduction... 1 What s in this manual...1 Symbols and conventions...2 Resources available from the Help menu...2 Send us your documentation comments...4 Chapter 1: VAT Setup... 5 Setting up the VAT Daybook...5 Setting up VAT Daybook report IDs and column codes...6 Importing a VAT Daybook report layout...8 Exporting a VAT Daybook report layout...8 Copying VAT Daybook Report Layout...9 Setting up the VAT Calendar...9 Chapter 2: Reverse Charge VAT Setup...11 Activating the alternate reports Understanding reverse charge tax Setting up reverse charge VAT...12 Setting up tax detail IDs...13 Associating a reverse charge VAT ID with a positive VAT ID...13 Selecting the reverse chargeable items...15 Chapter 3: Transactions Calculating the reverse charge VAT for Sales Order Processing transactions...17 Calculating the reverse charge VAT for Purchase Order Processing transactions...18 Entering reverse charge VAT for Receivables Management transactions...18 Entering reverse charge VAT for Purchasing transactions...19 Chapter 4: Modifying Report Templates Modifying a Report Template...21 Granting access to the modified report template...26 Additional information on modifying report templates...26 Chapter 5: Spanish VAT Printing VAT Daybook Reports for Spain...27 Understanding the Modelo 347 file...30 Marking retail tax...30 Adding the Build 347 window...30 Generating a Modelo 347 file...30 Chapter 6: Belgian VAT Entering the Belgian Enterprise number...35 Setting up tax options...35 Entering special amounts for the Belgian Summary Report...36 Generating a Quarterly Intracom Return...37 Annual VAT Return...38 VAT DAYBOOK i

4 CONTENTS Chapter 7: Dutch VAT and ICL Reports Setting up the Electronic Tax Declaration...49 Validating the BECON number...50 Understanding status changes for Dutch VAT and ICL reports...50 Importing the response message...51 Generating a Quarterly Intracom Return...52 Chapter 8: Reports and Enquiry Printing VAT Daybook Reports...55 VAT Daybook Detail Report - Sales...58 VAT Daybook Detail Report - Purchases...59 VAT Daybook Detail Report - Sales (Belgium)...60 VAT Daybook Detail Report - Purchases (Belgium)...61 VAT Daybook Summary Report...62 VAT Daybook Exceptions Report - Sales...63 VAT Daybook Exceptions Report - Purchases...64 VAT Daybook Exceptions Report - General Entry...65 VAT Daybook in Use Report...66 VAT Daybook Column Code Edit List...66 VAT Calendar Periods List...66 VAT Daybook Column Code Report Options...66 VAT Column Code Report...67 Printing the Reverse Charge Sales List...69 Tax ID Exceptions Report...70 Printing a VAT Return...71 Viewing VAT columns...72 Generating the VAT return for the UK...72 Viewing the reverse charge VAT for sales transactions...72 Viewing the reverse charge VAT for purchasing transactions...73 Viewing the reverse charge VAT for Sales Order Processing transactions...74 Viewing the reverse charge VAT for Purchase Order Processing transactions...75 Glossary Index ii VAT DAYBOOK

5 Introduction You can use Value-Added Tax (VAT) Daybook to create a VAT report based on the reporting requirements of European Union (EU) customs agencies. Check for current instructions This information was current as of February The documentation may be updated as new information becomes available. Check the Microsoft Dynamics GP online Web site ( for the most current documentation. This introduction is divided into the following sections: What s in this manual Symbols and conventions Resources available from the Help menu Send us your documentation comments What s in this manual This manual is designed to give you an understanding of how to use the features of VAT Daybook, and how it integrates with the Microsoft Dynamics GP system. To make best use of VAT Daybook, you should be familiar with systemwide features described in the System User s Guide, the System Setup Guide, and the System Administrator s Guide. Some features described in the documentation are optional and can be purchased through your Microsoft Dynamics GP partner. To view information about the release of Microsoft Dynamics GP that you re using and which modules or features you are registered to use, choose Help >> About Microsoft Dynamics GP. The manual is divided into the following chapters: Chapter 1, VAT Setup, provides information about setting up the VAT Daybook and the VAT reports windows. Chapter 2, Reverse Charge VAT Setup, provides information about setting up the reverse charge VAT for users in the United Kingdom. Chapter 3, Transactions, provides information about the process of calculating the reverse charge taxes for sales and purchasing transactions Chapter 4, Modifying Report Templates, gives information about modifying report templates to suit the requirement of different EU countries. Chapter 5, Spanish VAT, provides information about additional features for users in Spain. Chapter 6, Belgian VAT, provides information about additional features for users in Belgium. VAT DAYBOOK 1

6 INTRODUCTION Chapter 7, Dutch VAT and ICL Reports, provides information about additional features for users in The Netherlands. Chapter 8, Reports and Enquiry, shows you how to print VAT reports and describes the various tools you can use to view and modify VAT Reports. Symbols and conventions For definitions of unfamiliar terms, see the glossary in the manual or refer to the glossary in Help. Symbol Description The light bulb symbol indicates helpful tips, shortcuts and suggestions. The warning symbol indicates situations you should be especially aware of when completing tasks. This manual uses the following conventions to refer to sections, navigation and other information. Convention Creating a batch File >> Print or File > Print TAB or ENTER Description Italicized type indicates the name of a section or procedure. The (>>) or (>) symbol indicates a sequence of actions, such as selecting items from a menu or toolbar, or pressing buttons in a window. This example directs you to go to the File menu and choose Print. All capital letters indicate a key or a key sequence. Resources available from the Help menu The Microsoft Dynamics GP Help menu gives you access to user assistance resources on your computer, as well as on the Web. Contents Opens the Help file for the active Microsoft Dynamics GP component, and displays the main contents topic. To browse a more detailed table of contents, click the Contents tab above the Help navigation pane. Items in the contents topic and tab are arranged by module. If the contents for the active component includes an Additional Help files topic, click the links to view separate Help files that describe additional components. To find information in Help by using the index or full-text search, click the appropriate tab above the navigation pane, and type the keyword to find. To save the link to a topic in the Help, select a topic and then select the Favorites tab. Click Add. Index Opens the Help file for the active Microsoft Dynamics GP component, with the Index tab active. To find information about a window that s not currently displayed, type the name of the window, and click Display. 2 VAT DAYBOOK

7 INTRODUCTION About this window Displays overview information about the current window. To view related topics and descriptions of the fields, buttons, and menus for the window, choose the appropriate link in the topic. You also can press F1 to display Help about the current window. Lookup Opens a lookup window, if a window that you are viewing has a lookup window. For example, if the Checkbook Maintenance window is open, you can choose this item to open the Checkbooks lookup window. Show Required Fields Highlights fields that are required to have entries. Required fields must contain information before you can save the record and close the window. You can change the font color and style used to highlight required fields. On the Microsoft Dynamics GP menu, choose User Preferences, and then choose Display. Printable Manuals Displays a list of manuals in Adobe Acrobat.pdf format, which you can print or view. Orientation Training Accesses online tutorials that show you how to complete basic procedures within Microsoft Dynamics GP. Additional tutorials are available through the CustomerSource Web site. What s New Provides information about enhancements that were added to Microsoft Dynamics GP since the last major release. Microsoft Dynamics GP Online Opens a Web page that provides links to a variety of Web-based user assistance resources. Access to some items requires registration for a paid support plan. Current implementation and upgrade information The most recent revisions of upgrade and implementation documentation, plus documentation for service packs and payroll tax updates. User documentation and resources The most recent user guides, howto articles, and white papers for users. Developer documentation and resources The most recent documentation and updated information for developers. Product support information Information about the Microsoft Dynamics GP product support plans and options that are available, along with information about peer support and self-support resources. Services information Information about Microsoft Dynamics GP support, training, and consulting services. Microsoft Dynamics GP Community Access to newsgroups, where you can ask questions or share your expertise with other Microsoft Dynamics GP users. VAT DAYBOOK 3

8 INTRODUCTION CustomerSource home page A wide range of resources available to customers who are registered for a paid support plan. Includes access to Knowledge Base articles, software downloads, self-support, and much more. U.S. Payroll Updates Provides access to tax updates for state and federal tax withholding. When you select an option, the process to install the updates will begin immediately. Check with your system administrator before installing tax updates. To be sure that tax updates are installed correctly, refer to documentation for specific tax updates on the CustomerSource Web site. Customer Feedback Options Provides information about how you can join the Customer Experience Improvement Program to improve the quality, reliability, and performance of Microsoft software and services. Send us your documentation comments We welcome comments regarding the usefulness of the Microsoft Dynamics GP documentation. If you have specific suggestions or find any errors in this manual, send your comments by to the following address: bizdoc@microsoft.com. To send comments about specific topics from within Help, click the Documentation Feedback link, which is located at the bottom of each Help topic. Note: By offering any suggestions to Microsoft, you give Microsoft full permission to use them freely. 4 VAT DAYBOOK

9 Chapter 1: VAT Setup The following information helps you set up the VAT Daybook. It includes information about setting up the VAT Daybook Report layouts for each of your companies, importing, exporting and copying report layouts, and setting up the VAT Calendar. When you set up VAT Daybook, you can open each setup window and enter information, or you can use the Setup Checklist window (Microsoft Dynamics GP menu >> Tools >> Setup >> Setup Checklist) to guide you through the setup process. See your System Setup Guide (Help >> Contents >> select Setting up the System) for more information about the Setup Checklist window. This information is divided into the following sections: Setting up the VAT Daybook Setting up VAT Daybook report IDs and column codes Importing a VAT Daybook report layout Exporting a VAT Daybook report layout Copying VAT Daybook Report Layout Setting up the VAT Calendar Setting up the VAT Daybook You can use the Use VAT Daybook window to assign access to the VAT Daybook for a specific company. You can assign access to multiple companies as well. To set up VAT Daybook: 1. Open the Use VAT Daybook window. (Microsoft Dynamics GP menu >> Tools >> Setup >> System >> Use VAT Daybook) 2. In the Use VAT Daybook window, select the company that will use VAT Daybook. Mark the Use VAT Daybook check box next to each company that needs access to VAT Daybook. 3. Click the Report Template lookup and select a template for your VAT report. This will be the default summary report template used for your VAT return. VAT DAYBOOK 5

10 CHAPTER 1 VAT SETUP 4. If you need to register for VAT in another EU country, mark the multiple country check box. This would allow you to print the summary reports for different countries. 5. If you mark multiple countries, then all transactions posted for debtors/ creditors with the same carrier zone as the report ID s country code, will print in the VAT Daybook report. If you print the VAT Daybook using a report ID other than the default report ID, then all transactions pertaining to the debtor/creditors carrier zone that are the same as the report ID s country code will be considered to print in the VAT Daybook report. For example, consider three debtors: Debtor 1 whose carrier zone is UK, Debtor 2 whose carrier zone is not set and Debtor 3 whose carrier zone is AT. If the default report ID with the country code UK is printed, then all transactions posted for Debtor 1 and Debtor 2 will be considered to print in the VAT Daybook report. If you want to report VAT for Austria too, then you would have to create another report ID, with the country code as AT. Now if you print the VAT Daybook using this report ID, then only transactions posted for Debtor 3 will appear in the VAT Daybook. If Multiple Countries is not marked, then all transactions posted irrespective of the Debtor/Creditors carrier zone, will be considered to print in the VAT Daybook Report. 6. Choose OK. Setting up VAT Daybook report IDs and column codes You can use the VAT Daybook Reports window to set up the report ID for a country code. You can also set up column codes for the report ID. To set up VAT Daybook report IDs and column codes: 1. Open the VAT Daybook Reports window. (Cards >> Company >> VAT Daybook Reports) 2. Enter a report ID and a report description. 3. Enter or select a country code. 4. Enter the column codes for the report ID. You can set up to a maximum of 25 column codes each, for Sales and Purchase Tax Detail IDs. 6 VAT DAYBOOK

11 CHAPTER 1 VAT SETUP 5. Choose Save. 6. If you mark the Default on VAT Viewer, the report ID you ve selected will be the default ID on the VAT Column Viewer in all transaction entry windows and in the VAT Daybook Report Options window. Also, if you mark the Revision Allowed option, you will have access to resubmit the VAT return where the Customs agency allows VAT returns to be resubmitted. If you are submitting VAT returns for more than one country, it is not advisable to make the second report ID the default ID on the VAT Viewer when you print the VAT return. 7. Click the Column Code link and open VAT Daybook Column Codes window. 8. Enter the VAT column code. You can set up to a maximum of 25 column codes for each Sales and Purchasing Tax type. 9. Enter a description for the VAT column code in the Description 1 field which is mandatory, and in the Description 2 field, which is optional. Description 1 will appear as the heading in the VAT detailed report. 10. Select either a Sales or a Purchase tax type. 11. Enter or select the Tax Detail ID for the selected tax type. 12. Select tax amounts or net amounts for the Amount Type. Tax amount is the total tax amount and net amount is the total taxable amount. 13. Select the document type that you want to track VAT in, whether Invoices, Credits, or both Invoices & Credits. 14. Choose Save. You cannot edit or modify these details once you have printed the summary report. To make changes, you will need to make a copy of the report ID and then make changes to the copied report ID. For more information, refer to Copying VAT Daybook Report Layout on page 9. VAT DAYBOOK 7

12 CHAPTER 1 VAT SETUP Importing a VAT Daybook report layout Use the Import VAT Daybook Report Layout window to import a report layout from a text file to the VAT Daybook Report Layout. To import a report layout: 1. Open the Import VAT Daybook Report Layout window. (Cards >> Company >> VAT Daybook Reports >> Import button) 2. Enter a new report ID. 3. Enter a description and country code to use for the report. 4. Select the path of the text file. 5. Choose Process to import from the text file. Exporting a VAT Daybook report layout You can use the Export VAT Daybook Report Layout window to export an existing report ID to a text file. To export an existing report layout: 1. Open the Export VAT Daybook Report Layout window. (Cards >> Company >> VAT Daybook Reports >> Export button) 2. Enter or select the report ID to export. The description and country code will be displayed. 3. Select the path where the export file should be saved. 4. Choose Process to export to a text file. 8 VAT DAYBOOK

13 CHAPTER 1 VAT SETUP Copying VAT Daybook Report Layout You can use the Copy VAT Daybook Report Layout window to modify existing reports. You can copy an existing report ID and assign a different report ID. This will be helpful if you want to modify the existing report ID. To copy VAT Daybook report layout: 1. Open the Copy VAT Daybook Report Layout window. (Cards >> Company >> VAT Daybook Reports >> Copy button) 2. In the From Report ID field, enter or select an existing report ID. 3. In the To Report ID field, enter a new report ID. You cannot copy to an existing report ID. 4. Enter a description and country code for the new report. 5. Choose Process. The new report ID will be created. Setting up the VAT Calendar Use the VAT Calendar window to set up the periods for the year to define VAT. To set up the VAT Calendar: 1. Open the VAT Calendar Setup window. (Cards >> Company >> VAT Calendar) 2. Select a Country Code ID or enter a new country code. VAT DAYBOOK 9

14 CHAPTER 1 VAT SETUP 3. Enter the year for the VAT report. 4. Select the date to use. The defined Date To Use (Document Date, Posting Date and Tax Date, whichever is acceptable by your Customs Agency) that you select in the VAT Calendar Setup is used to calculate the VAT amounts for the transactions. The transactions will be displayed in the VAT Daybook report based on the Date to Use you select here. 5. Enter the first day and the last day of the year. 6. Select the number of periods (from 1 to 12) for the year. If you have selected NL as the country code, be sure to enter the correct period names. The period name you enter will be exported to the XML file created for submission of Netherlands VAT returns. 7. Choose Calculate to calculate the first day and last day of each period. The return number column will show the period and year of the summary report, plus the report ID after the audit trail report is printed for that period. You can print a list of calculated periods by choosing File >> Print when the VAT Calendar Setup window is displayed. 8. Choose OK to close the window. 10 VAT DAYBOOK

15 Chapter 2: Reverse Charge VAT Setup If your company is registered for VAT in the UK, reverse charge VAT may be applicable on your sales and purchases depending on the items you trade in. Use this information to understand how the reverse charge VAT is calculated in Microsoft Dynamics GP and to complete the setups required to calculate reverse charge VAT for sales and purchasing transactions. These include setting up reverse charge VAT IDs, selecting reverse charge items, and associating the reverse charge VAT ID with the positive VAT ID. This information is divided into the following sections: Activating the alternate reports Understanding reverse charge tax Setting up reverse charge VAT Setting up tax detail IDs Associating a reverse charge VAT ID with a positive VAT ID Selecting the reverse chargeable items Activating the alternate reports You must activate the alternate reports for VAT Daybook to print the reverse charge VAT information on sales invoices. To do this, you must give access to all the alternate/modified forms and reports IDs in the Alternate/Modified Forms and Reports window. Refer to the System Setup documentation for more information. To activate the alternate reports: In the Alternate/Modified Forms and Reports window, perform the following steps for all the user IDs to activate the alternate reports in VAT Daybook: 1. Open the Alternate/Modified Forms and Reports window. (Microsoft Dynamics GP menu >> Tools >> Setup >> System >> Alternate/ Modified Forms and Reports) 2. Select the user ID. 3. Select VAT Daybook as the product. 4. Select Reports as the type. 5. Mark the VAT Daybook option for all the reports in the Sales series to activate them. 6. Choose Save to save the settings. Understanding reverse charge tax If your company is a UK VAT registered company, you can set up your system to calculate the reverse charge VAT for items that satisfy the reverse charge VAT criteria. This charge negates the effect of the VAT charged on the item. The amount of the reverse charge VAT is payable by the customer directly to the tax authority. The reverse charge VAT is calculated automatically for Sales Order Processing and Purchase Order Processing transactions that fulfill the conditions under which reverse charge VAT becomes applicable. In the Receivables Management and VAT DAYBOOK 11

16 CHAPTER 2 REVERSE CHARGE VAT SETUP Payables Management modules, you must manually enter the reverse charge tax detail during transaction entry if required. The reverse charge VAT is applicable if the following conditions are fulfilled: Your company is registered for VAT in the UK. Your customer or vendor is registered for VAT in the UK. The items you deal in are specified as being subject to reverse charge VAT by the tax authority. The total amount for reverse chargeable items on the invoice equals or exceeds the threshold limit specified by the tax authority. At present, this limit is set to per document. Setting up reverse charge VAT Before you can calculate reverse charge VAT, you must have performed the following setup procedures: Required setup Enter the company s UK tax registration number in the Tax Registration field in the Company Setup window. Select GB as the country code for the company s primary address in the Company Address Setup window. Mark the Enable Reverse Charge Tax option in the Company Setup Options window in order to set up negative tax detail IDs. Set up the positive VAT and reverse charge VAT detail ID in the Tax Detail Maintenance window. Refer to Setting up tax detail IDs on page 13 for more information. Associate the reverse charge VAT ID with the corresponding positive VAT ID and enter a threshold amount in the Reverse Charge VAT Setup window. Refer to Associating a reverse charge VAT ID with a positive VAT ID on page 13 for more information. Select the items that are subject to reverse charge in the Reverse Charge Item Setup window. Refer to Selecting the reverse chargeable items on page 15 for more information. Select GB as the country code for the customer s primary address in the Debtor Address Maintenance window for the customers eligible for reverse charge VAT. Select GB as the country code for the vendor s primary address in the Creditor Address Maintenance window for the vendors eligible for reverse charge VAT. Path Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Company >> Tax Registration field Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Company >> Address button >> Select the primary address >> Country Code field Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Company >> Options button Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Tax Details Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Reverse Charge VAT Setup Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Reverse Charge VAT Setup >> Item button Cards >> Sales >> Addresses >> Select the primary address >> Country Code button Cards >> Purchasing >> Addresses >> Select the primary address >> Country Code button 12 VAT DAYBOOK

17 CHAPTER 2 REVERSE CHARGE VAT SETUP Be sure that the positive VAT detail ID is included in the tax schedule that will be used for the reverse charge item during transaction entry. Transactions >> Sales >> Sales Transaction Entry >> Item Number expansion button >> Calculated Tax expansion button Setting up tax detail IDs You must set up the positive and negative tax detail ID for sales and purchases type in the Tax Detail Maintenance window (Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Tax Details). Use the following information to set up the tax details to calculate the reverse charge VAT in conformity with the legal requirements: The tax percentage for the negative VAT ID must be the exact opposite of the positive tax ID. All the other options for the tax details in the Tax Detail Maintenance window should also be identical for the positive and negative detail. You must assign the same account to the positive VAT ID and reverse charge VAT ID in order to comply with the accounting and reporting conventions. If you are using separate tax detail IDs for positive VAT for reverse chargeable and non-reverse chargeable items, be sure to assign the same account to all tax detail IDs in order to comply with the accounting and reporting conventions. Verify that the positive VAT detail ID is included in the tax schedule of all customers, vendors, and items that are subject to reverse charge VAT. This will ensure that the positive tax detail is included for the item during transaction entry. Reverse charge VAT will be applied on an item only if the positive VAT detail already exists in the Item Tax Detail Entry window. Associating a reverse charge VAT ID with a positive VAT ID Use the Reverse Charge VAT Setup window to associate a reverse charge VAT ID with a positive VAT ID. You can also enter a threshold amount specified by the tax authority. VAT DAYBOOK 13

18 CHAPTER 2 REVERSE CHARGE VAT SETUP To associate reverse charge VAT ID with a positive VAT ID: 1. Open the Reverse Charge VAT Setup window. (Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Reverse Charge VAT Setup) 2. Select a Sales type positive tax detail ID in the Sales Tax Details group. The description and percentage for the selected tax detail ID are displayed in the respective fields. 3. Select a Sales type negative tax detail ID to associate with the selected positive tax detail ID. This ID is used to calculate the reverse charge VAT. The description and percentage for the selected tax detail ID are displayed in the respective fields. 4. Select a Purchasing type positive tax detail ID in the Purchase Tax Details group. The description and percentage for the selected tax detail ID are displayed in the respective fields. 5. Select a Purchasing type negative tax detail ID to associate with the selected positive tax detail ID. This ID is used to calculate the reverse charge VAT. The description and percentage for the selected tax detail ID are displayed in the respective fields. You can only associate one positive tax detail to one negative tax detail of each type. If you select a different tax detail in any field and choose OK, your current setup will overwrite your previously saved setup. 6. Enter a threshold amount specified by the tax authority. The reverse charge VAT is calculated only if the document total of reverse chargeable items equals or exceeds the threshold set in this field. 7. Choose the Item button to open the Reverse Charge Item Setup window where you can select the items that are subject to reverse charge VAT. 8. Choose OK to save the information you have entered. You cannot change the setup you have saved once you post transactions using this setup. 9. Choose Cancel to close the window without saving your changes. 14 VAT DAYBOOK

19 CHAPTER 2 REVERSE CHARGE VAT SETUP Selecting the reverse chargeable items Use the Reverse Charge Item Setup window to select the items that are subject to reverse charge VAT. To select the reverse chargeable items: 1. Open the Reverse Charge Item Setup window. (Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Reverse Charge Setup >> Item button) The Item Number column displays all the items that are set up in the Item Maintenance window (Cards >> Inventory >> Item). The Short Name and the Item Description columns display the item name and the item description respectively. 2. Highlight an item in the Item Number list and choose Insert to insert it in the RC Item Number list. The RC Item Number, Short Name, and the RC Item Description columns display the reverse chargeable item number, its name and description respectively. 3. To remove an item from the RC Item Number list, highlight the item and choose Remove. 4. Choose OK to save your selection of reverse chargeable items and close the window. VAT DAYBOOK 15

20 16 VAT DAYBOOK

21 Chapter 3: Transactions Use this information to understand the process of calculating the reverse charge taxes for sales and purchasing transactions. This information is divided into the following sections: Calculating the reverse charge VAT for Sales Order Processing transactions Calculating the reverse charge VAT for Purchase Order Processing transactions Entering reverse charge VAT for Receivables Management transactions Entering reverse charge VAT for Purchasing transactions Calculating the reverse charge VAT for Sales Order Processing transactions Reverse Charge VAT is calculated automatically for a sales order processing document if the total of the extended price for all reverse chargeable items in the document equals or exceeds the threshold you specified in the Reverse Charge VAT setup window. Be sure that the positive VAT ID associated to the reverse charge VAT ID is included in the tax schedule that you use for reverse charge items during transaction entry. Reverse charge VAT will be applied on an item only if the positive VAT detail already exists in the Item Tax Detail Entry window. If the document has a trade discount then the trade discount must be subtracted from the extended price of the reverse charge items on a pro-rata basis to determine if Reverse Charge VAT is applicable on the document. Example: Calculation of Reverse Charge VAT for a Sales Order Processing transaction. Item Subject to Reverse Charge VAT Unit Price Quantity Extended Price Mouse pad No Phone Yes CD ROM Yes Sub Total Trade 5% % 4588 Total In the above example, the trade discount of is apportioned in the ratio of the total extended price of the reverse charge items and non reverse charge items. Thus, the apportioned trade discount for the reverse charge items amounts to (7597* /27597). The total extended price of reverse charge items minus the apportioned trade discount is , which is higher than the threshold of Hence the reverse charge VAT of -17.5% is calculated on this amount. Thus, the reverse charge VAT due on the transaction is VAT DAYBOOK 17

22 CHAPTER 3 TRANSACTIONS Calculating the reverse charge VAT for Purchase Order Processing transactions Reverse charge VAT is calculated automatically for a purchase order processing document if the total of the extended cost for all reverse chargeable items in the document equals or exceeds the threshold you specified in the Reverse Charge VAT setup window. Be sure that the positive VAT ID associated to the reverse charge VAT ID is included in the tax schedule that you use for reverse charge items during transaction entry. Reverse charge VAT will be applied on an item only if the positive VAT detail already exists in the Item Tax Detail Entry window. If the document has a trade discount then the trade discount must be subtracted from the extended cost of the reverse charge items on a pro-rata basis to determine if Reverse Charge VAT is applicable on the document. Item Subject to Reverse Charge VAT Unit Cost Quantity Extended Cost Mouse pad No Phone Yes CD ROM Yes Sub Total Trade 10% % Total In the above example, the trade discount of is apportioned in the ratio of the total extended cost of reverse charge items and non reverse charge items. Thus, the apportioned trade discount for the reverse charge items amounts to (7346* /87346). The total extended cost of reverse charge items minus the apportioned trade discount is , which is higher than the threshold of Hence reverse charge VAT of -17.5% is calculated on this amount. Thus, the reverse charge VAT due on the transaction is Entering reverse charge VAT for Receivables Management transactions You must manually enter the reverse charge VAT for Receivables Management transactions that fulfil the conditions under which the reverse charge becomes applicable. During transaction entry, a message is displayed if the Debtor s country code is GB and the sales amount minus trade discount equals or exceeds the threshold amount. If reverse charge VAT is applicable for the transaction, you must manually enter the Reverse Charge Tax ID associated with the VAT detail ID in the Receivables Tax Entry window. Refer to Associating a reverse charge VAT ID with a positive VAT ID on page 13 for more information. 18 VAT DAYBOOK

23 CHAPTER 3 TRANSACTIONS Entering reverse charge VAT for Purchasing transactions You must manually enter the reverse charge VAT for Payables Management transactions that fulfill the conditions under which the reverse charge becomes applicable. During transaction entry a message is displayed if the Creditor's country code is GB and the purchases amount minus trade discount equals or exceeds the threshold amount. If reverse charge VAT is applicable for the transaction, you must manually enter the Reverse Charge Tax ID associated with the VAT detail ID in the Payables Tax Entry window. Refer to Associating a reverse charge VAT ID with a positive VAT ID on page 13. VAT DAYBOOK 19

24 20 VAT DAYBOOK

25 Chapter 4: Modifying Report Templates For VAT Daybook users in different EU countries, 16 report templates have been made available in the VAT Daybook dictionary. This information is divided into the following sections: Modifying a Report Template Granting access to the modified report template Additional information on modifying report templates Modifying a Report Template Based on the reporting requirement for your country/region, you can select from the following report templates in the Use VAT Daybook window. Template ID AT BE-FR BE-NL DE ES UK NL PT Country/Template Description Austria Belgium French Belgium Dutch Germany Spain United Kingdom Netherlands Portugal For example, to submit VAT returns in The Netherlands, you can use the NL report template. VAT DAYBOOK 21

26 CHAPTER 4 MODIFYING REPORT TEMPLATES 22 VAT DAYBOOK

27 CHAPTER 4 MODIFYING REPORT TEMPLATES In addition to this, you can modify report templates for the following countries: Template ID DK EL FI FR IE IT LU SE Country/Template Description Denmark Greece Finland France Ireland Italy Luxembourg Sweden These templates are similar to the UK VAT Return template. You can modify the report template through Report Modifier to suit your country/region formats. To modify a report template: 1. Open the Report Writer window. (Microsoft Dynamics GP menu >> Tools >> Customise >> Report Writer) 2. From the Product drop-down list, choose VAT Daybook and choose OK. 3. Choose Reports in the Tool Bar to open the Report Writer window. 4. Select the report you want to modify and insert into the Modified Reports List Box. 5. Choose Open to open the Report Definitions window. Choose Layout to open the Report Layout window. 6. Modify the report template to suit the requirements of your country/region. You can drag the required fields from the toolbox window and place them in the Report Layout window. Use the text tool to place text in the layout area, such as a report title or column headings. VAT DAYBOOK 23

28 CHAPTER 4 MODIFYING REPORT TEMPLATES The table details are as follows: Table Name: vatdaybookusersummtemp Display Name: VAT Daybook User Summary Temp Physical Name: TEMP This is a temporary table that will store only one record. All the fields will be updated when you print the VAT Return and deleted as soon as the printing is completed. Following is the list of fields in the vatdaybookusersummtemp table: VAT Daybook Report ID This field is updated with the report ID you have used while printing the VAT Daybook report in the VAT Daybook Report Options window. This need not be the default report ID. Country Code This field is updated with the Country Code attached to the report ID used while printing the VAT Daybook report. Country Code Description This field is updated with the description of the Country Code. Report Description This field is updated with the description of the report ID printed in the VAT Daybook Report Options window. Year This field is updated with the Year for which the report is printed. This will be updated only when you print Audit Trail, Audit Reprint or Resubmission reports. Period ID This field is updated with the period for which the report is printed. This will be updated only when you print Audit Trail, Audit Reprint or Resubmission reports. Start Date If you print Audit Trail, Audit Reprint or Resubmission reports, then this field is updated with the start date of the period for which the report is printed. The start date will be updated from the VAT Calendar Setup. If you print the Draft or Draft+Draft Return Report, then this field will be updated with the value that you have entered in the From Date field in the VAT Daybook Report Options window. To Date If you print Audit Trail, Audit Reprint or Resubmission reports, then this field is updated with the end date of the period for which the report is printed. The end date will be taken from the VAT Calendar Setup. If you print the Draft or Draft+Draft Return Report, then this field will be updated with the value that you have entered in the To Date field in the VAT Daybook Report Options window. 24 VAT DAYBOOK

29 CHAPTER 4 MODIFYING REPORT TEMPLATES vatcolcodeamtsalesarray This is an array field having 25 elements in it and stores the Sales series column code s amount in the order of Column Codes defined. If you have only three Sales series codes, then array element 1, 2, and 3 will have the values and all other elements will be zero. vatcolcodeamtpurarray This is an array field having 25 elements in it and stores the Purchase series column code s amount in the order of Column Codes defined. If you have only four Purchase series codes, then array element 1, 2, 3, and 4 will have the values and all other elements will be Zero. For example if the Col_1 is for the series Sales, Col_2 is for the Purchase, Col_3 is for Purchase and Col_4 is again for Sales, the values stored in the table vatdaybookusersummtemp will have the following order. Amount for Col_1 will be in VatColCodeAmtSalesArray[1], Amount for Col_2 will be in VatColCodeAmtPurArray[1], Amount for Col_3 will be in VatColCodeAmtPurArray[2] and Amount for Col_4 will be in VatColCodeAmtSalesArray[2], If you want the first column of the series purchase to be displayed in the Report, then you must place the array element 1 of the VatColCodeAmtPurArray field on the Report layout and if you want the 10th column of the Sales series to be displayed in the Report, then you should place array element 10 of the VatColCodeAmtSalesArray field on the report layout. vatcolcodesalesarray This is an array field having 25 elements in it and stores the Sales series name of the column codes for the selected VAT report ID in the order of Column Codes. vatcolcodepurarray This is an array field having 25 elements in it and stores the Purchase series name of the column codes for the selected VAT report ID in the order of Column Codes. vatcolcodedesc1salesarray This is an array field having 25 elements in it and stores the Description 1 of Sales series column codes for the selected VAT report ID in the order of Column Codes. vatcolcodedesc1purarray This is an array field having 25 elements in it and stores the Description 1 of Purchase series column codes for the selected VAT report ID in the order of Column Codes. vatcolcodedesc2salesarray This is an array field having 25 elements in it and stores the Description 2 of Sales series column codes for the selected VAT report ID in the order of Column Codes. vatcolcodedesc2purarray This is an array field having 25 elements in it and stores the Description 2 of Purchase series column codes for the selected VAT report ID in the order of Column Codes. VAT DAYBOOK 25

30 CHAPTER 4 MODIFYING REPORT TEMPLATES After you have modified the report as required, save changes to the report layout and close the window. Granting access to the modified report template You will have to grant access to the modified report template you have created. To grant access to the modified report template: 1. Open the Security Setup window. (Microsoft Dynamics GP menu >> Tools >> Setup >> System >> Security) 2. Select the user ID. 3. Select the company. 4. From the Product drop-down list, select VAT Daybook. 5. In the Type field, select Modified Reports. Select the Company in the Series field. The modified report will appear in the Access list window. 6. Double-click on the report name or click on Mark All to grant access. 7. Choose OK to save and close the Security Setup window. 8. Open the Use VAT Daybook window and select the modified report template. Refer to Setting up the VAT Daybook on page 5 for more information. Additional information on modifying report templates You can create new calculated fields using the values in any of the above table fields. For example, if Col_1 is the Sales Tax and Col-2 is Purchase Tax, then you can create a calculated field Total VAT due as: Total VAT due = Col_1 Col_2. The report title will be the description of the Template, which you will be entering in the VAT Daybook Summary Template Lookup window. The description for all 16 templates will have country abbreviations. If you want to change the description of the Template, choose Microsoft Dynamics GP menu >> Tools >> Setup >> System >> Use VAT Daybook. Click the Report Template Lookup button. Click the Zoom button and open the Report Template Setup window. Here, you can edit the description of any of the template and this will appear as Report heading when you print the VAT Return. You can also change the report heading through report modifier. 26 VAT DAYBOOK

31 Chapter 5: Spanish VAT For VAT Daybook users in Spain, additional features have been provided to help file the VAT Returns in accordance with Spanish legislation. This information is divided into the following sections: Printing VAT Daybook Reports for Spain Understanding the Modelo 347 file Marking retail tax Adding the Build 347 window Generating a Modelo 347 file Printing VAT Daybook Reports for Spain The following reports have been made available to fulfill the requirements of the Spanish VAT Agency AEAT: VAT Summary Report, which will enable the user to complete the Modelo 300. Sales and Purchase Daybook Report, which will list all transactions based on the net amount and tax amount. Both Sales daybook and Purchase daybook will be printed along with the Detailed Report, but they won t be printed along with the Audit reprint. Only the taxes that are included in the column code of the selected report ID will be printed in the report. To print VAT Daybook Reports for Spain: 1. Select the Spanish Report template (ES) in the Use VAT Daybook window. Refer to Setting up the VAT Daybook on page 5 for more information. 2. Open the VAT Daybook Report Options window. (Microsoft Dynamics GP menu >> Tools >> Routines >> Company >> VAT Daybook Reports) 3. Enter or select an option. 4. Select the report ID. 5. Select the type of report you want to print. VAT DAYBOOK 27

32 CHAPTER 5 SPANISH VAT 6. If you have selected Draft or Draft + Draft Return, enter the date ranges or else select the Year and Period. 7. Choose Print. Both the Summary and Detailed report will be printed based on the periods you have set in the VAT Calendar. 28 VAT DAYBOOK

33 CHAPTER 5 SPANISH VAT VAT Summary Report (Modelo 300) MINISTERIO DE HACIENDA Agencia Tributaria Delegacion de Administracion de Codige de Administracion Impuesto sobre el Valor Anadido DECLARACION TRIMESTRAL EN EUROS Modelo 300 Espacio reservado para la etiqueta identificativa Ejercicio... Periodo... N.I.F Apellidos y nombre o razon social Calle/Piza./Avda. Nombre de la via publica Numero Esc. Piso Prta. Telefono Municipio Provincia Cod. Postal I.V.A. Devengado Base Imponible Tipo % Cuota Regimen general Recargo equivalencia Adquisiciones intracomunitarias , % 03 12, % % , % 12 1, % % Total cuota devengada ( ) 21 13, I.V.A. Deducible Total a deducir ( ) Diferencia ( ) Atribuible a la Administracion del Estado % Cuotas a compensar de periodos anteriores Entregas intracomunitarias I.V.A. deducible por cuotas soportadas en operaciones interiores I.V.A. deducible por cuotas satisfechas en las importaciones I.V.A. deducible en adquisiciones intracomunitarias Compensaciones Regimen Especial A.G. y P Regularizacion inversiones Exclusivamente para sujetos pasivos que tributan conjuntamente a la Administracion del Estado y a las Diputaciones Forales. Resultado de la regularizacion anual. 33 euros Resultado ( - + ) , Si resulta C 34 negativa consigner el importe a comensar Ingreso efectuado a favor del Tesoro Publico, restringida de la Delegacion de la A.E.A.T. para la Recaudacion de los Tributos. cuenta Sin actividad - Forma de pago: E.C. En efectivo E.C. Adeudo en cuenta Mainfesto a esa Delegacion que el importe a devolver resenado deseo me sea abonado medianate transferencia bancaria a la cuenta indicada de le que soy titular Importe: D Codigo Cuenta Cliente (CCC) Entidad Sucursal DC Numero de cuenta Importe: I Codigo Cuenta Cliente (CCC) Entidad Sucursal DC Numero de cuenta a de de Firma: VAT DAYBOOK 29

34 CHAPTER 5 SPANISH VAT Understanding the Modelo 347 file It is obligatory for Spanish companies to complete the declaration of the operations with third parties for both debtors and creditors if the amount exceeds 3,000 per year. For this, the AEAT makes available a programme for printing and completing the return electronically. Companies whose operations per year exceed 25 are required by law to use this programme. As the number of operations per company can be high, VAT Daybook provides a feature called Build 347 to import data into this programme faster. All the taxes that are marked retail only will be considered for Build 347. Marking retail tax You can mark retail tax for a tax detail ID that you want to include in the Build 347. To mark the retail tax: 1. Open the Tax Detail Options window. (Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Tax Details >> Select a Tax Detail ID >> Additional >> Tax Detail ID Options) 2. Mark the Retail Tax check box for the ID selected in the Tax Detail Maintenance window. All the Tax Detail IDs with Retail Tax marked will appear in the Modelo 347 file that you generate. Adding the Build 347 window To generate a Modelo 347 file, you need to add the Build 347 window to your shortcuts bar. To add the Build 347 window: 1. Open the Add Window Shortcut window. (Shortcuts >> Add) 2. Expand the VAT Daybook folder. 3. Expand the Company folder. 4. Select Build 347 and choose Add. The window will be added to your shortcuts bar. Generating a Modelo 347 file You can generate a Modelo 347 file after you have added the Build 347 window. 30 VAT DAYBOOK

35 CHAPTER 5 SPANISH VAT To generate a Modelo 347 file: 1. Open the Build 347 window. (Shortcuts >> Build 347) 2. Select the Year. The default value appears from the VAT Calendar. 3. Enter the path to print the file. 4. Choose Create File to create the output file. Be sure that you have set up the VAT Calendar before you print the Modelo 347 file. The Sales daybook and Purchase daybook will be printed along with the Detailed Report, but they won t be printed along with the Audit reprint. Only the taxes that are included in the column code of the selected report ID will be printed in the report. VAT DAYBOOK 31

36 CHAPTER 5 SPANISH VAT VAT Daybook Detail Report - Sales System Date: 01/01/2007 4:15:00 AM User Date: 01/01/2007 Report ID: Country Code: Date From: * L R E ESVATRET Report Description: Vat return for Spain ES Country Code Description: Spain 01/01/2007 Date To: 12/31/2007 Voided Late Invoice Vat Rebate On Settlement Discount EU Transaction Fabrikam Inc. Tax Registration: Sales Daybook Page: User ID: 1 Sa Doc.Number Doc Type Doc Date Net Amount Tax Amount Debtor ID Debtor Name Tax.Registr. 400 Gen.Entry 01/01/ Tax ID Goods Value Tax Amount VAT-%S-% Gen.Entry 04/04/ Tax ID Goods Value Tax Amount VAT-S-%ST-% * L VATS Sales/Invoices 12/31/ AARONFIT0001 Aaron Fitz Electrical Tax ID Goods Value Tax Amount VAT-%S-% INV Invoice 01/01/ AARONFIT0001 Aaron Fitz Electrical Tax ID Goods Value Tax Amount VAT-%S-% INV Invoice 01/01/ AARONFIT0001 Aaron Fitz Electrical Tax ID Goods Value Tax Amount S-%S-7-2-B-N VATS00002 Sales/Invoices 01/01/ ALTONMAN001 Alton Manufacturing Tax ID Goods Value Tax Amount VAT-%C-% VATINV00004 Invoice 02/01/ AARONFIT0001 Aaron Fitz Electrical Tax ID Goods Value Tax Amount VAT-%S-% R VATIVC002 Invoice 02/28/ ASTORSUI0001 Astor Suites Tax ID Goods Value Tax Amount VAT-%S-% VATINV00003 Invoice 06/01/ ASTORSUI0001 Astor Suites Tax ID Goods Value Tax Amount VAT-%S-% VATIVC001 Invoice 06/30/ CELLULAR0001 Cellular Express Tax ID Goods Value Tax Amount VAT-%S-% E VATIVC003 Invoice 09/09/2007 1, CONTOSOL0001 Contoso Ltd Tax ID Goods Value Tax Amount VAT-S-FLT-2 1, * VATS Sales/Invoices 12/31/ AARONFIT0001 Aaron Fitz Electrical Tax ID Goods Value Tax Amount VAT-%S-% VATD00001 Debit Memo 06/06/ , , ASTORSUI0001 Astor Suites Tax ID Goods Value Tax Amount VAT-%S-%6 200, , VAT DAYBOOK

37 CHAPTER 5 SPANISH VAT VAT Daybook Detail Report Purchases System Date: 01/01/2007 4:15:00 AM User Date: 01/01/2007 Report ID: Country Code: Date From: * L R E ESVATRET Report Description: Vat return for Spain ES Country Code Description: Spain 01/01/2007 Date To: 12/31/2007 Voided Late Invoice Vat Rebate On Settlement Discount EU Transaction Fabrikam Inc. Tax Registration: Purchase Daybook Page: User ID: 1 SA Doc.Number Doc Type Doc Date Net Amount Tax Amount Creditor ID Creditor Name Tax.Registr. 401 Gen.Entry 01/01/ Tax ID Goods Value Tax Amount VAT-%P-% Gen.Entry 09/09/ Tax ID Goods Value Tax Amount VAT-P-%PT-% R VATP00006 Invoice 01/01/ ACETRAVE0001 A Travel Company Tax ID Goods Value Tax Amount VAT-%P-TIP-% VAT-%P-TIP-% RCT Invoice 01/31/ ADVANCED0001 Advanced Office Systems Tax ID Goods Value Tax Amount VAT-%P-% RCT Invoice 02/25/ ALLENSON0001 Allenson Properties Tax ID Goods Value Tax Amount VAT-%P-% * VATP00001 Invoice 03/02/ BUSINESS MAG BusinessMagazine Tax ID Goods Value Tax Amount VAT-%P-% E RCT Invoice 04/30/ CARLSONS0001 Carlson Specialities Tax ID Goods Value Tax Amount VAT-P-%PT-% VATP00002 Finance Charge 06/15/ ADVANCED0001 Advanced Office Systems Tax ID Goods Value Tax Amount VAT-%P-% VATP00003 Misc Charge 06/15/ CARLSONS0001 Carlson Specialities Tax ID Goods Value Tax Amount VAT-P-%PT-% VATP00007 Return 03/30/ ACETRAVE0001 A Travel Company Tax ID Goods Value Tax Amount VAT-%P-TIP-% VATP00004 Return 09/30/ BUSINESS MAG BusinessMagazine Tax ID Goods Value Tax Amount VAT-%P-% VAT DAYBOOK 33

38 34 VAT DAYBOOK

39 Chapter 6: Belgian VAT For VAT Daybook users in Belgium, additional features have been provided to help file the VAT returns in accordance with Belgian legislation. This information is divided into the following sections: Entering the Belgian Enterprise number Setting up tax options Entering special amounts for the Belgian Summary Report Generating a Quarterly Intracom Return Annual VAT Return Entering the Belgian Enterprise number Use the user-defined field 2 in the Company Setup window to enter the Enterprise number that will appear on your Belgian VAT reports. To enter the Belgian Enterprise number: 1. Open the Company Setup window. (Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Company) 2. Enter the Enterprise number in the User Defined 2 field. This number will appear on the VAT and Intrastat reports for Belgium. 3. Choose OK to close the window. Setting up tax options A tax option is a group of tax details IDs. You can set up a number of tax options, each having a combination of tax details IDs. When you generate the quarterly and annual VAT returns, only transactions with the tax details included in the tax option you select will be considered for the report. VAT DAYBOOK 35

40 CHAPTER 6 BELGIAN VAT To set up tax options: 1. Open the Tax Option Setup window. (Microsoft Dynamics GP menu >> Tools >> Routines >> Company >> Quarterly Intracom VAT Listing >> Tax Options expansion button) (Shortcuts >> Annual VAT Report Balance Export >> Tax Options expansion button) 2. Enter a Tax Option ID for the tax option you re setting up. 3. Enter a description for the tax option you re setting up. All the tax detail IDs are displayed in the Available Tax Detail IDs column. 4. Select a tax detail ID in the Available Tax Detail IDs column and choose Insert to include it in the displayed Tax Option. The tax detail ID is displayed in the Selected Tax Details IDs column. 5. Select a tax detail ID from the Selected Tax Detail IDs column, and choose Remove to remove it from the displayed Tax Option. 6. Choose Save to save the Tax Option. 7. Choose Delete to delete the Tax Option. Entering special amounts for the Belgian Summary Report Use the Belgium Summary Report Options window to enter special amounts for the Belgian Summary report. To open this window, choose Microsoft Dynamics GP menu >> Tools >> Routines >> Company >> VAT Daybook Reports >> Select report type (Draft+Draft Return, Audit Trail, Audit Reprint) >> Additional >> Belgium Summary Report Options. In Box 61 in the Belgium Summary Report Options window, enter an amount for miscellaneous taxes (revisions) to be paid. In Box 62, enter an amount for miscellaneous taxes (revisions) to be received. In Box 91, enter an amount for advance payments, if any. This amount is to be entered only in the month of December. This window is only available if the Template ID selected in the Use VAT Daybook window is BE-FR or BE-NL. 36 VAT DAYBOOK

41 CHAPTER 6 BELGIAN VAT Generating a Quarterly Intracom Return This is the list of all sales of goods to VAT-registered companies in EU countries other than the home country. In order to correctly generate the Quarterly Intracom Listing report, be sure to enter the company s tax registration number in the Company Setup window (Tools >> Setup >> Company >> Company). You must also set comma as the decimal separator for the currency in the Currency Setup window (Tools >> Setup >> System >> Currency). Be sure that the currency ID symbol field in the Currency Maintenance window is blank to generate the report correctly. To generate a Quarterly Intracom Return: 1. Open the Quarterly Intracom VAT Listing window. (Microsoft Dynamics GP menu >> Tools >> Routines >> Company >> Quarterly Intracom VAT Listing) 2. Select the report ID from the drop-down list. The options available are: BE_ICVAT_FR: For Belgian French BE_ICVAT_NL: For Belgian Dutch BE_ICVAT_UK: For Belgian English (UK) A quarterly listing report will be printed on the basis of the report ID you select. For example, if you select the Dutch Report ID, the report will be printed in Dutch and if you select French Report ID, the report will be printed in French. 3. Enter or select the tax option. Only those transactions that have the tax details included in the tax option will be included in the report. 4. Highlight an option in the scrolling window and choose Select to select the tax option. 5. In the Quarterly Intracom VAT Listing Window, enter the Year for the report. 6. Select the quarter for the report. 7. Enter the path for the ICVAT.txt file. 8. Choose Export. The Quarterly VAT Listing Report will be printed and an export output file will be generated. This report is only a guideline and may not be directly submitted to the authorities. VAT DAYBOOK 37

42 CHAPTER 6 BELGIAN VAT The transactions printed in the report are based on the posting date. Only Sales Order Processing and Receivables Management transactions will be printed in the report. Only those debtors whose tax registration is other than BE will be considered for Quarterly VAT Listing. Voided transactions are included only within the reporting period. If the transactions are voided in the next period, they will not be included in the Quarterly VAT Report. Annual VAT Return Annual VAT listing Report is the list of all sales (of goods and services) to VAT registered companies in the home country/region. You need to add the Annual VAT Report Balance Export window to the Shortcuts to generate the return. In order to correctly generate this report, be sure to enter the company s tax registration number in the Company Setup window (Tools >> Setup >> Company >> Company). You must also set comma as the decimal separator for the currency in the Currency Setup window (Tools >> Setup >> System >> Currency). To add the Annual VAT Report Balance Export window: 1. Choose Shortcuts >> Add >> Other window to open the Add Window Shortcut window. 2. In the Available Windows scrolling window, select VAT Daybook >> Company >> Annual VAT Report Balance Export. 3. Choose Add. The Annual VAT Report Balance Export window will allow you to export the VAT report to a text file. Also, you can enter the correct tax options for submitting the report. To export the Annual VAT to a text file: 1. Open the Annual VAT Report Balance Export window. (Shortcuts >> Annual VAT Report Balance Export) 2. Select the report ID from the drop-down list. The options available are: BE_ICVAT_FR: For Belgian French BE_ICVAT_NL: For Belgian Dutch 38 VAT DAYBOOK

43 CHAPTER 6 BELGIAN VAT BE_ICVAT_UK: For Belgian English (UK) A yearly listing report will be printed on the basis of the report ID you select. For example, if you select the Dutch Report ID, the report will be printed in Dutch and if you select French Report ID, the report will be printed in French. 3. Enter or select the tax options for the report. 4. Enter the year for the report being submitted. 5. Enter the threshold for the report. Threshold is the total sales amount excluding taxes. This should always be greater than zero. The list of debtors whose transactions value is greater than the threshold specified here will be printed in the Annual VAT Report. Only those debtors whose tax registration begins with BE will be considered for the Annual VAT Return. 6. Enter the path for the VATANNUAL.txt file. 7. Choose Export. The Yearly VAT Return will be printed and an output file will be generated. This report is only a guideline and may not be directly submitted to the authorities. Voided transactions are included only within the reporting year. If the transactions are voided in the next year, they will not be included in the Annual VAT Report for the next year. VAT DAYBOOK 39

44 CHAPTER 6 BELGIAN VAT Quarterly Intracom Reports ICVAT for Belgian French This report is a guideline for filling in the VAT Return. It has not been certified as an official VAT Return and should not be directly submitted to the tax authorities. TAXE SUR LA VALEUR AJOUTEE RELEVE TRIMESTRIEL A LA T.V.A. DES LIVRAISONS INTRACOMMUNAUTAIRES EXEMPTEES N de T.V.A. du déclarant : Page (2) 1 sur (3) BE 1 Période (1) (1) (trimestre / année) : (1) A compléter obligatoirement sur chaque feuille du relevé. (2) Les pages doivent être numérotées de manière ininterrompue. La première page du relevé porte le numéro 001. (3) Indiquer ici le nombre total de pages du relevé. CADRE I : A COMPLETER UNIQUEMENT A LA PREMIERE PAGE DU RELEVE Nom et adresse du déclarant : Fabrikam, Inc West Oak Parkway ATTENTION : si le relevé contient plusieurs feuilles, elles ne peuvent pas être attachées. Les feuilles doivent être rangées par numéro de page croissant. Chicago IL United States Nom, qualité et numéro de téléphone du (des) signataires(s) Signature(s) : Date : CERTIFIE SINCERE ET VERITABLE CADRE II : RESERVE A L'ADMINISTRATION E Plier ici s.v.p. Date de réception Monnaie Nombre de pages A/B/R Date de traitement CADRE III : RELEVE DES CLIENTS N Code pays et numéro de T.V.A. du client Code Montant Trimestre - Année Total de la page : VAT DAYBOOK

45 CHAPTER 6 BELGIAN VAT ICVAT for Belgian Dutch This report is a guideline for filling in the VAT Return. It has not been certified as an official VAT Return and should not be directly submitted to the tax authorities. BELASTING OVER DE TOEGEVOEGDE WAARDE BTW - KWARTAALOPGAVE VAN DE VRIJGESTELDE INTRACOMMUNAUTAIRE LEVERINGEN BTW - nummer van de aangever : BE (1) Periode (kwartaal / jaar) : (1) Bladzijde (2) 1 van (3) 1 (1) Verplicht in te vullen op elk blad van de opgave. (2) De bladzijden moeten doorlopend genummerd worden. De eerste bladzijde van de opgave draagt het nummer 001. (3) Vul hier het totaal aantal bladzijden van de opgave in. KADER I : UITSLUITEND IN TE VULLEN OP DE EERSTE BLADZIJDE VAN DE OPGAVE Naam en adres van de aangever : Fabrikam, Inc West Oak Parkway OPGELET : wanneer de opgave meerdere bladen bevat, mogen deze niet samengehecht worden. De bladzijden moeten gerangschikt worden per stijgend bladzijdenummer. Chicago IL United States Datum : Naam, hoedanigheid en telefoonnummer ondertekenaar(s) Handtekening(en) : OPRECHT EN VOLLEDIG VERKLAARD KADER II : VOORBEHOUDEN AAN DE ADMINISTRATIE Hier vouwen a.u.b. Datum ontvangst E Munt Aantal blzn. A/B/R Datum verwerking KADER III : OPGAVE VAN DE AFNEMERS Nr. Landencode en BTW - nummer afnemer Code Bedrag Kwartaal - Jaar Totaalbedrag van deze bladzijde : VAT DAYBOOK 41

46 CHAPTER 6 BELGIAN VAT ICVAT for Belgian English (UK) TO BE USED FOR STATEMENTS SPECIFIED IN EURO ONLY (for returns in Belgian francs: see page marked BEF) VALUE ADDED TAX Quarterly statement of exempt intracommunity supplies of goods and equivalent transactions EURO for transactions in the. quarter of. (1) THIS SECTION IS FOR ADMINISTRATION ONLY VAT Office stamp: SECTION TO BE COMPLETED BY THE TAXPAYER Declarant: (affix identification label here) Date of receipt: Visual check: Number of pages: VALUE 1 ADDE Number of buyers: 11 Period: Total amount: EUR Currency: EUR I hereby declare that this return has been completed truthfully and in full (2) Number of pages: (date) Code A/B/R: Code: (signature(s)) No. 723 EUR A.O.S.620/00 (1) Please fill in the period (quarter/year) to which this statement relates. (2) For this statement to be valid it must be signed and dated. If the signatory is an authorized agent or if the statement is made on behalf of a corporate body, the capacity of the signatory must be specified. 1 Advanced Tech Satellite System M8D Ave page... 1 Carry forward / Grand total VAT DAYBOOK

47 CHAPTER 6 BELGIAN VAT TO BE USED FOR STATEMENTS SPECIFIED IN EURO ONLY (1) Sequence number (2) Buyer's full name and address 2 Cellular Express Horseshoe Way 3 Compu-Tech Solutions Meridan St. N.E. 4 Downtown Hotel Chestnut Avenue 5 Northern State College Lee Ridge Road 6 Atmore Retirement Center W 7th St. 7 Aaron Fitz Electrical One Microsoft Way 8 Berry Medical Center Suite Vista Travel 34 S5S Broadway 10 Associated Insurance Company Garden Mall 11 Metropolitan Fiber Systems W. Jackson Ave (3) Buyer's VAT number Country Number Code (4) C o d e Carried forward (5) Amount (in euro) c E e u n r t o s Quarter (6) Period EURO Year page... 1 Carry forward / Grand total 6, VAT DAYBOOK 43

48 CHAPTER 6 BELGIAN VAT Quarterly Intracom Export File 44 VAT DAYBOOK

49 CHAPTER 6 BELGIAN VAT Annual VAT Return Reports Annual VAT Return for Belgian French This report is a guideline for filling in the VAT Return. It has not been certified as an official VAT Return and should not be directly submitted to the tax authorities. TAXE SUR LA VALEUR AJOUTEE LISTE ANNUELLE DES CLIENTS ASSUJETTIS A LA T.V.A N de T.V.A. du déclarant : Page (2) 1 sur (3) BE (1) Année des opérations : 2007 (1) 1 (1) A compléter obligatoirement sur chaque feuille de la liste. (2) Les pages doivent être numérotées de manière ininterrompue. La première page de la liste porte le numéro 001. (3) Indiquer ici le nombre total de pages de la liste. CADRE I : A REMPLIR PAR L'ASSUJETTI - A COMPLETER UNIQUEMENT A LA PREMIERE PAGE DE LA LISTE Nom et adresse du déclarant : Fabrikam, Inc West Oak Parkway Chicago IL United States ATTENTION : si la liste contient plusieurs feuilles, elles ne peuvent pas être attachées. Les feuilles doivent être rangées par numéro de page croissant. Signature(s) : CERTIFIE SINCERE ET VERITABLE Date : A. A compléter uniquement par les petites entreprises qui appliquaient le régime de la franchise de la taxe au 31 décembre de l'année civile concernée par la liste : 1. Montant total du chiffre d'affaires réalisé au cours d cette année (y compris celui repris au cadre III de la liste) : 2. Dans la mesure où l'activité sous le régime de la franchisde la taxe a débuté dans le courant de cette année, la date à laquelle la petite entreprise a commencà bénéficier de ce régime (jour / mois) : B. A compléter uniquement par les exploitants agricoles visés à l'article 6 de l'arrêté royal n 50 : Je déclare être tenu au dépôt du relevé intracommunautaire annuel (Oui) visé à l'article 6 de l'arrêté royal n 50 (case à cocher par une croix) : (Non) CADRE II : RESERVE A L'ADMINISTRATION Plier ici s.v.p. E Date de réception Monnaie Nombre de pages A/B/L/R Date de traitement CADRE III : LISTE DES CLIENTS N Numéro de T.V.A. Chiffre d'affaires (T.V.A. non comprise) Montant de la T.V.A Totaux de la page : VAT DAYBOOK 45

50 CHAPTER 6 BELGIAN VAT Annual VAT for Belgian Dutch This report is a guideline for filling in the VAT Return. It has not been certified as an official VAT Return and should not be directly submitted to the tax authorities. BELASTING OVER DE TOEGEVOEGDE WAARDE JAARLIJKSE LIJST VAN DE BTW - BELASTINGPLICHTIGE AFNEMERS BTW - nummer van de aangever : Bladzijde (2) 1 van (3) BE (1) Jaar van de handelingen : 2007 (1) (1) Verplicht in te vullen op elk blad van de lijst. (2) De bladzijden moeten doorlopend genummerd worden. De eerste bladzijde van de lijst draagt het nummer (3) Vul hier het totaal aantal bladzijden van de lijst in. KADER I : IN TE VULLEN DOOR DE BELASTINGPLICHTIGE - Naam en adres van de aangever : Fabrikam, Inc West Oak Parkway UITSLUITEND IN TE VULLEN OP DE EERSTE BLADZIJDE VAN DE LIJST OPGELET : wanneer de lijst meerdere bladen bevat, mogen deze niet samengehecht worden De bladzijden moeten gerangschikt worden per stijgend bladzijdenummer. Chicago IL United States Handtekening(en) : OPRECHT EN VOLLEDIG VERKLAARD Datum : A. B. Enkel aan te vullen door de kleine ondernemingen die, op 31 december van het kalenderjaar waarop deze lijst betrekking heeft, de vrijstellingsregeling van de belasting toepasten : 1. Totaalbedrag van de omzet die in de loop van dat jaar gerealiseerd werd (met inbegrip van de handelingen vermeld in kader III van deze lijst) 2. Datum waarop de kleine onderneming is beginnen genieten van de vrijstellingsregeling van de belasting indien de activiteit onder die regeling werd aangevangein de loop van dat jaar (dag / maand) : Enkel aan te vullen door de landbouwondernemers bedoeld in artikel 6 van het koninklijk besluit nr. 50 : Ik verklaar gehouden te zijn tot het indienen van de jaarlijkintracommunautaire opgave, bedoeld in artikel 6 van het koninklijk besluit 50 (één van de vakjes aankruisen) (Ja) (Neen) KADER II : VOORBEHOUDEN AAN DE ADMINISTRATIE Hier vouwen a.u.b. E Datum ontvangst Munt Aantal blzn. A/B/L/R Datum verwerking KADER III : LIJST VAN DE AFNEMERS Nr. BTW - nummer Omzet (excl. BTW) BTW - bedrag Totaalbedrag van deze bladzijde : VAT DAYBOOK

51 CHAPTER 6 BELGIAN VAT Annual VAT for Belgian English (UK) TO BE USED FOR STATEMENTS SPECIFIED IN EURO ONLY (for statements in Belgian francs: see page marked BEF) VALUE ADDED TAX EUR ANNUAL STATEMENT OF TAXABLE BUYERS SUPPLIED WITH GOODS AND SERVICES DURING THE YEAR 2007 DECLARANT (affix identification label here) THIS SECTION IS FOR ADMINISTRATION ONLY VAT office stamp Date of receipt: Visual check: Number of Pages: Currency :B/E: Code A/B/L/R : Year: Code: E THIS SECTION TO BE COMPLETED BY TAXPAYER Number of pages: 1 Number of buyers: 4 Total turnover: EUR Total VAT amount: EUR A. Only to be filled in by small businesses which, on 31 December of thecalendar year to which this statement relates, have applied the VAT exemption regulation: 1. Amount of turnover realized in the course of that year:...eur 2. The date upon which the small business first enjoyed said tax exemption if the activity to which the regulation applies was commenced in the course of that year (dd/mm):.... /.. B. Only to be filled in by agricultural enterprises as intended in section 6 of Royal Decree no. 50. (tick one of the boxes below): 1. I declare that I am obliged to submit the annual intra-community statement, as (Y) opgave, bedoeld in artikel 6 van het koninklijk beslut nr I declare that I am not obliged to submit the aforementioned annual (N) intra-community statement. DECLARED TRUTHFULLY AND IN FULL Date: 5/11/2004 Signature (1) (1)For this statement to be valid it must be signed and dated. If the signatis an authorized agent or if the statement is made on behalf of a corporate body, the capacity of the signamust be specified. Nr. 725 E A0S 770/99 1 Atmore Retirement Center 567 W 7th St Carry forward / Grand total : VAT DAYBOOK 47

52 CHAPTER 6 BELGIAN VAT TO BE USED FOR STATEMENTS SPECIFIED IN EURO ONLY Seq. Turnover (ex.vat) VAT amount no. Buyer's name and address VAT number (in euro) (in euro) (1) (2) (3) (4) (5) EUR Carried forward: Aaron Fitz Electrical One Microsoft Way Berry Medical Center Suite Vista Travel 5678 Broadway S5S Annual VAT Return Export File 48 VAT DAYBOOK

53 Chapter 7: Dutch VAT and ICL Reports For VAT Daybook users in The Netherlands, additional features have been provided to help file the VAT return in accordance with Dutch legislation. You can create an XML file in Microsoft Dynamics GP with all the required information, and send it to the Dutch tax authority. The response message received from the authority, with or without errors, can be imported into Microsoft Dynamics GP. You can regenerate the XML file after correcting the errors, if any, and resubmit it to the tax authorities. Setting up the Electronic Tax Declaration Validating the BECON number Understanding status changes for Dutch VAT and ICL reports Importing the response message Generating a Quarterly Intracom Return Setting up the Electronic Tax Declaration You can enter the contact details that will be included in the VAT declaration XML file. To set up the Electronic Tax Declaration: 1. Open the Electronic Tax Declaration Setup window. (Cards >> Company >> Elec. Tax Decl. Setup) 2. Select the Contact Type, whether Taxpayer or Intermediary. You can only set up one contact type. If you save contact details for one contact type, and then change the contact type, the information you ve entered will be lost. Taxpayer The Contact ID, Contact Name and Phone No. fields will display the information entered in the Tax Registration, Contact and Phone 1 fields respectively on the Company Setup window (Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Company). You cannot save Taxpayer as a contact type until you ve entered these details on the Company Setup window. VAT DAYBOOK 49

54 CHAPTER 7 DUTCH VAT AND ICL REPORTS Intermediary Enter the BECON number in the Contact ID field if the contact type is Intermediary. The BECON number is a six digit number. Refer to Validating the BECON number on page 50 for information on validating the BECON number. Enter the Contact Name and Contact Phone No. for the Intermediary. 3. Enter the Service Agency ID., Service Agency Contact Name and Service Agency Contact Phone No. in the respective fields. These details will be printed on the XML file after the Company or Intermediary details. It is not mandatory to enter service agency details. However once you enter a value for any service agency field, you must also enter values for the other service agency fields. 4. Enter a number in the Next VAT Number, and Next ICL Number fields. This number will be the unique ID of each XML file created, and will increase by one each time an XML file is printed. You can enter an alphanumeric value here; however you cannot enter only an alphabetical value. You cannot change the number in the Next VAT Number field when the VAT Daybook Reports window is open. You cannot change the number in the Next ICL Number field when the Quarterly Intracom Report window is open. Validating the BECON number You can verify if the BECON number you ve entered is valid using the following formula: Example: The BECON number entered is Multiply the number in position 1 with 6. This is 1*6=6. Multiply the number in position 2 with 5. This is 2*5=10 Multiply the number in position 3 with 4. This is 3*4= 12. Multiply the number in position 4 with 3. This is 4*3=12. Multiply the number in position 5 with 2. This is 5*2=10. Now, add up all the new numbers you have got, and divide the sum by 11. Therefore, ( ) / 11 = 50/11 = 4, and the remainder is 6. The BECON number is valid if the number on position 6 is equal to the remainder. As the remainder in the number is 6, which is also the number on position 6, this is a valid BECON number. If the remainder is 10 then the number on position 6 must be 0. Understanding status changes for Dutch VAT and ICL reports Use the following information to understand how the status changes when generating a Dutch VAT or ICL report. Status VAT ICL Populated when New County code is NL, and the report type selected is Audit Trail or Audit Reprint. When you select Audit Trail for the first time for a selected year and period. Report ID is NL_ICVAT. When you select a year and period combination for the first time. 50 VAT DAYBOOK

55 CHAPTER 7 DUTCH VAT AND ICL REPORTS Submitted Error Accepted When you submit the VAT report for the first time. When you receive and import a response message from the tax authority that displays any error in submission. When you receive and import a response from the tax authority without any errors. When you submit the report for the first time for the selected year and period. When you receive and import a response message from the tax authority that displays any error in submission. Once you receive and import a response from the tax authority without any errors. Importing the response message You can import the message received from the tax authority into Microsoft Dynamics GP in order to update the status of your Dutch VAT or ICL declaration. To import the response message: 1. Open the Response Message Import window. (Microsoft Dynamics GP menu >> Tools >> Routines >> Company >> Response Message Import) 2. Select the type of report for which to import a response message, whether Tax or ICL. 3. Enter or select the Submission Number for which to import the response message. The Report ID, Submission Date, Year, Period, and Status fields display the values for the selected Submission Number. 4. Enter a path name for the file to be imported, and choose Import to import the file. You cannot import a file if the path name is not valid, or if the file is in an incorrect format. 5. The Response Errors scrolling window displays all the error messages that have been imported. Any error messages previously imported for the selected submission number are also displayed in chronological order, with the most recently imported message at the top of the list. VAT DAYBOOK 51

56 CHAPTER 7 DUTCH VAT AND ICL REPORTS Date The date on which the error message was imported is displayed. Error Code The error code is carried forward from the imported message. Error Description imported message. The description of the error is carried forward from the Location The location is carried forward from the imported message. 6. If the response message does not contain any errors, the status of the submission number changes to Accepted after a confirmation message is received. 7. Choose OK to close the window. Generating a Quarterly Intracom Return You can use this window to create the Dutch ICL report in XML format. To generate a Quarterly Intracom Return: 1. Open the Quarterly Intracom VAT Listing window. (Microsoft Dynamics GP menu >> Tools >> Routines >> Company >> Quarterly Intracom VAT Listing) 2. Select the report ID for the Netherlands ICL report from the drop-down list. The report ID is NL_ICVAT. 3. Enter or select the tax option. Only those transactions that have the tax details included in the tax option will be selected for the report. Refer to Setting up tax options on page 35 for more information on setting up tax options. 4. Enter the Year for the report to be generated. 5. Select the quarter for which to generate the report. 6. The ICL Number field displays the value from the Next ICL Number field in the Electronic Tax Declaration Setup window. This number increments only when you are printing a report for a new period. 52 VAT DAYBOOK

57 CHAPTER 7 DUTCH VAT AND ICL REPORTS 7. The Status field displays the status of the report for the selected year and quarter. Refer to Understanding status changes for Dutch VAT and ICL reports on page 50 for more information. You cannot re-submit an ICL report unless the status changes to Error. Once the status is Accepted, the report is locked. 8. Enter the path for the ICL report XML file that will be created.choose Export to create the ICL report XML file. Transactions that have been posted and voided in the same period are not reflected in the quarterly VAT report. However, if a transaction is voided in a later period, it will be included in that period to reverse the effect of the original transaction. VAT DAYBOOK 53

58 54 VAT DAYBOOK

59 Chapter 8: Reports and Enquiry Use the VAT Daybook Report Options window to print the detailed and summary reports. Also, you can view the VAT value for transactions appearing on the detailed VAT Daybook Report in the VAT Column Viewer. This information is divided into the following sections: Printing VAT Daybook Reports VAT Daybook Detail Report - Sales VAT Daybook Detail Report - Purchases VAT Daybook Detail Report - Sales (Belgium) VAT Daybook Detail Report - Purchases (Belgium) VAT Daybook Summary Report VAT Daybook Exceptions Report - Sales VAT Daybook Exceptions Report - Purchases VAT Daybook Exceptions Report - General Entry VAT Daybook in Use Report VAT Daybook Column Code Edit List VAT Calendar Periods List VAT Daybook Column Code Report Options VAT Column Code Report Printing the Reverse Charge Sales List Tax ID Exceptions Report Printing a VAT Return Viewing VAT columns Generating the VAT return for the UK Viewing the reverse charge VAT for sales transactions Viewing the reverse charge VAT for purchasing transactions Viewing the reverse charge VAT for Sales Order Processing transactions Viewing the reverse charge VAT for Purchase Order Processing transactions Printing VAT Daybook Reports You can use the VAT Daybook Report Options window to print your VAT reports. VAT DAYBOOK 55

60 CHAPTER 8 REPORTS AND ENQUIRY To print VAT Daybook Reports: 1. Open the VAT Daybook Report Options window. (Microsoft Dynamics GP menu >> Tools >> Routines >> Company >> VAT Daybook Reports) 2. Enter or select a report option in the Option field. The default report ID will be displayed in the Report ID field. The template you have selected in the Use VAT Daybook window will appear by default in the Template ID field. 3. Select the type of report that you want to print, whether Draft, Draft+Draft Return, Audit Trail or Audit Reprint. You cannot print any of these reports if you have not set up a VAT calendar. Also, you cannot select Audit Reprint if you have not printed the Audit Trail report. 4. Select the type of transaction you want to include, whether Sales, Purchase or Both. If you choose to print Audit Trail, Audit Reprint or Draft+Draft Return, then the option Both (Sales and Purchase transactions) will be automatically selected. 5. The Declaration field displays the Next VAT number from the Electronic Tax Declaration Setup window. This number is displayed only if you ve selected NL as the country code. This number will increment only when you select Audit Trail for the first time for a selected year and period. 6. The Status field displays the status of the selected VAT report, if the country code is NL. Refer to Understanding status changes for Dutch VAT and ICL reports on page 50 for more information on the status of a Dutch VAT report. 56 VAT DAYBOOK

61 CHAPTER 8 REPORTS AND ENQUIRY 7. Enter the path for the XML file. The report you print will be generated as an XML file if the country code is NL. This field is available only if the country code is NL, and you ve selected Audit Trail or Audit Reprint as the report type. Any changes you make manually to an XML file after printing an Audit Trail will not be reflected when you subsequently choose Audit Reprint. 8. Enter the From and To Dates. The date fields will be available only if you have selected the Draft or Draft+Draft Return option. 9. If you have selected to print Audit Trail or Audit Reprint, enter the Year and Period for which you want to print the Audit Trail or Audit Reprint. If you have marked the Revision Allowed check box for the Report ID in the VAT Daybook Reports window, then you can re-submit the VAT Return. If you are resubmitting the VAT Return, then the Revision number will increase automatically. Following is a list of reports that will be printed if you choose Audit Trail/Audit Reprint: VAT Daybook Detail Report-Sales VAT Daybook Detail Report-Purchases VAT Daybook Summary Report The following reports are also printed if you choose only Audit Trail. VAT Daybook Exceptions Report-Sales VAT Daybook Exceptions Report-Purchases VAT Daybook Exceptions Report-General Entry VAT DAYBOOK 57

62 CHAPTER 8 REPORTS AND ENQUIRY VAT Daybook Detail Report - Sales The VAT Daybook Detailed Report- Sales displays the net and tax values for all tax IDs for all transactions posted within the date range entered. The sales transactions and totals for each column will be printed. The transactions are sorted by the date selected followed by document number. This report is not available for users in Belgium. System Date: 5/6/2004 5:01:40 PM User Date: 4/12/2007 Fabrikam, Inc. VAT Daybook Detail Report Company Page: User ID: 1 sa A Report ID: Country Code: Date From: * L R E GBVAT Report Description: Great Britain VAT Return GB Country Code Description: Great Britain 1/1/2007 Date To: 4/12/2007 Voided Late Invoice VAT Rebate On Settlement Discount EU Transaction Sales Doc Date Doc.Number Doc Type Tax ID Debtor ID Debtor Name Box 01 Vat Due 4/12/2007 DEBIT Debit Memos UKVAT-PS175N0 ADVANCED0001 Advanced Paper Co /12/2007 DEBIT Debit Memos UKVAT-PS175N0 ADAMPARK0001 Adam Park Resort /12/2007 FINCH Finance Charges UKVAT-PS175N0 ASTORSUI0001 Astor Suites /12/2007 SALES Sales / Invoices UKVAT-PS175N0 AARONFIT0001 Aaron Fitz Electrical /12/2007 SALES Sales / Invoices UKVAT-PS175N0 AARONFIT0001 Aaron Fitz Electrical /12/2007 SALES Sales / Invoices UKVAT-PS175N0 AARONFIT0001 Aaron Fitz Electrical /12/2007 SALES Sales / Invoices UKVAT-PS175N0 AARONFIT0001 Aaron Fitz Electrical /12/2007 SALES Sales / Invoices UKVAT-PS175N0 AARONFIT0001 Aaron Fitz Electrical /12/2007 SRVCE Service / Repairs UKVAT-PS175N0 ADAMPARK0001 Adam Park Resort /12/2007 SRVCE Service / Repairs UKVAT-PS175N0 BERRYMED0001 Berry Medical Center /12/2007 WRNTY Warranty UKVAT-PS175N0 CENTRALD0001 Central Distributing Total Sales VAT DAYBOOK

63 CHAPTER 8 REPORTS AND ENQUIRY VAT Daybook Detail Report - Purchases The VAT Daybook Detailed Report- Purchases displays the net and tax values for all tax IDs for all transactions posted within the date range entered. The report for all the purchase transactions and totals for each column will be printed. The transactions are sorted by the date selected followed by document number. This report is not available for users in Belgium. em Date: 5/6/2004 5:01:58 PM Date: 4/12/2007 Fabrikam, Inc. VAT Daybook Detail Report Company Page: User ID: 1 sa A Report ID: GBVAT Report Description: Great Britain VAT Return Country Code: GB Country Code Description: Great Britain Date From: 1/1/2007 Date To: 4/12/2007 Voided Late Invoice R VAT Rebate On Settlement Discount E EU Transaction Purchasing Doc Date Doc.Number Doc Type Tax ID Creditor ID Creditor Name 02 Vat Due in t 09 Total value 4/12/ Invoice UKVAT+PS175N0 ACETRAVE0001 A Travel Company /12/ Invoice UKVAT+PS175N0 ACETRAVE0001 A Travel Company /12/ Invoice UKVAT+PS175N0 ADVANCED0001 Advanced Office System /12/ Invoice UKVAT+PS175N0 ADVANCED0001 Advanced Office System /12/ Misc Charge UKVAT+PS175N0 ACETRAVE0001 A Travel Company /12/ Finance Charge UKVAT+PS175N0 ACETRAVE0001 A Travel Company /12/ Misc Charge UKVAT+PS175N0 ATTRACTI00001 Attractive Telephone Co /12/ Misc Charge UKVAT+PS175N0 AMERICAN0001 AmericaCharge Total Purchases VAT DAYBOOK 59

64 CHAPTER 8 REPORTS AND ENQUIRY VAT Daybook Detail Report - Sales (Belgium) This report is only available for Belgium. System Date: 5/7/ :54:44 AM User Date: 4/12/2007 Fabrikam, Inc. VAT Daybook Detail Report Company Page: User ID: 1 sa A Report ID: Country Code: Date From: * L R E BE-NL Report Description: VAT Return for Belgium BE Country Code Description: Belgium 1/1/2007 Date To: 12/12/2007 Voided Late Invoice VAT Rebate On Settlement Discount EU Transaction Sales Doc Date Doc.Number Doc Type Debtor ID Debtor Name VAT Tax Belgium 4/12/2007 DEBIT Debit Memos ADVANCED0001 Advanced Paper Co /12/2007 DEBIT Debit Memos ADAMPARK0001 Adam Park Resort /12/2007 FINCH Finance Charges ASTORSUI0001 Astor Suites /12/2007 SALES Sales / Invoices AARONFIT0001 Aaron Fitz Electrical /12/2007 SALES Sales / Invoices AARONFIT0001 Aaron Fitz Electrical /12/2007 SALES Sales / Invoices AARONFIT0001 Aaron Fitz Electrical /12/2007 SALES Sales / Invoices AARONFIT0001 Aaron Fitz Electrical /12/2007 SALES Sales / Invoices AARONFIT0001 Aaron Fitz Electrical /12/2007 SRVCE Service / Repairs ADAMPARK0001 Adam Park Resort /12/2007 SRVCE Service / Repairs BERRYMED0001 Berry Medical Center /12/2007 WRNTY Warranty CENTRALD0001 Central Distributing /9/2007 SALES Sales / Invoices AARONFIT0001 Aaron Fitz Electrical /9/2007 SALES Sales / Invoices AARONFIT0001 Aaron Fitz Electrical /9/2007 SALES Sales / Invoices AARONFIT0001 Aaron Fitz Electrical /9/2007 SALES Sales / Invoices AARONFIT0001 Aaron Fitz Electrical Total Sales VAT DAYBOOK

65 CHAPTER 8 REPORTS AND ENQUIRY VAT Daybook Detail Report - Purchases (Belgium) This report is only available for Belgium. System Date: 5/7/ :18:28 AM User Date: 4/12/2007 Fabrikam, Inc. VAT Daybook Detail Report Company Page: User ID: 1 sa A Report ID: Country Code: Date From: * L R E BE-NL Report Description: VAT Return for Belgium BE Country Code Description: Belgium 1/1/2007 Date To: 12/12/2007 Voided Late Invoice VAT Rebate On Settlement Discount EU Transaction Purchasing Doc Date Doc.Number Doc Type Creditor ID Creditor Name VAT on Purchase 4/12/ Invoice ACETRAVE0001 A Travel Company /12/ Invoice ACETRAVE0001 A Travel Company /12/ Invoice ADVANCED0001 Advanced Office Systems /12/ Invoice ADVANCED0001 Advanced Office Systems /12/ Misc Charge ACETRAVE0001 A Travel Company /12/ Finance Charge ACETRAVE0001 A Travel Company /12/ Misc Charge ATTRACTI00001 Attractive Telephone Co /12/ Misc Charge AMERICAN0001 AmericaCharge Total Purchases VAT DAYBOOK 61

66 CHAPTER 8 REPORTS AND ENQUIRY VAT Daybook Summary Report The VAT Daybook Summary Report lists columnar totals for each of the columns defined in the VAT Daybook Report. The report also displays the period and year the audit trail is printed. You can print the VAT Summary Report when you are required to file a VAT return. This will be in the generic format. This report will be printed when there is no report template ID set up in the Use VAT Daybook window. If you have set up a template ID, then the summary report will print in that format. System: User Date: 5/6/2004 4/12/2007 6:14:08 PM Ranges: From: To: Date: 1/1/2007 4/12/2007 Report ID: GBVAT Description: Country Code: GB Description: Column Code Description Year Great Britain VAT Return Great Britain Fabrikam, Inc. VAT Daybook Summary Report Company Period Page: 1 User ID: sa Tax Amount Box 01 Vat Due in this Period 19, Vat Due in this period on 8, Vat Reclaimed in this Period Total Value of sales & other Total value of purchases Total values of all EU goods Total value of all EU supps 8, VAT DAYBOOK

67 CHAPTER 8 REPORTS AND ENQUIRY VAT Daybook Exceptions Report - Sales The VAT Daybook Exceptions Report - Sales lists all sales transactions that have been posted with tax details that are not included in any of the columns of the report ID. If you have marked multiple countries in the Use VAT Daybook window, then all transactions posted for the foreign debtor will appear as exceptions in this report. System Date: 5/6/2004 5:02:04 PM User Date: 4/12/2007 Date From : 1/1/2007 Date To : 4/12/2007 * L R E Voided Late Invoice Vat Rebate On Settlement Discount EU Transaction Fabrikam, Inc. VAT Daybook Exceptions Report - Sales Company Page User ID 1 sa Doc.Number Doc Type Tax ID Debtor ID Debtor Name Document Date Posting Date Tax Date Tax Amount Net Amount CREDT Credit Memo USASTE-PS6N0 ATMORERE0001 Atmore Retirement Center4/12/2007 4/12/2007 4/12/2007 (42.00) (700.00) CREDT Credit Memo USCITY-PS1N0 ATMORERE0001 Atmore Retirement Center4/12/2007 4/12/2007 4/12/2007 (7.00) (700.00) DEBIT Debit Memos USASTE-PS6N0 ADAMPARK0001 Adam Park Resort 4/12/2007 4/12/2007 4/12/ DEBIT Debit Memos USCITY-PS1N0 ADAMPARK0001 Adam Park Resort 4/12/2007 4/12/2007 4/12/ DEBIT Debit Memos USASTE-PS6N0 ADVANCED0001 Advanced Paper Co. 4/12/2007 4/12/2007 4/12/ DEBIT Debit Memos USCITY-PS1N0 ADVANCED0001 Advanced Paper Co. 4/12/2007 4/12/2007 4/12/ DEBIT Debit Memos USASTE-PS6N0 ADAMPARK0001 Adam Park Resort 4/12/2007 4/12/2007 4/12/ , DEBIT Debit Memos USCITY-PS1N0 ADAMPARK0001 Adam Park Resort 4/12/2007 4/12/2007 4/12/ , FINCH Finance Charg USASTE-PS6N0 ADVANCED0001 Advanced Paper Co. 4/12/2007 4/12/2007 4/12/ FINCH Finance Charg USCITY-PS1N0 ADVANCED0001 Advanced Paper Co. 4/12/2007 4/12/2007 4/12/ FINCH Finance Charg CANGST-PS7T0 ADVANCED0002 Advanced Tech Satellite 4/12/2007 4/12/2007 4/12/ FINCH Finance Charg USASTE-PS6N0 ASTORSUI0001 Astor Suites 4/12/2007 4/12/2007 4/12/ , FINCH Finance Charg USCITY-PS1N0 ASTORSUI0001 Astor Suites 4/12/2007 4/12/2007 4/12/ , RETRN Returns USASTE-PS6N0 ATMORERE0001 Atmore Retirement Center4/12/2007 4/12/2007 4/12/2007 (48.00) (800.00) RETRN Returns USCITY-PS1N0 ATMORERE0001 Atmore Retirement Center4/12/2007 4/12/2007 4/12/2007 (8.00) (800.00) RETRN Returns USASTE-PS6N0 AMERICAN0002 American Electrical Cont4/12/2007 4/12/2007 4/12/2007 (42.00) (700.00) RETRN Returns USCITY-PS1N0 AMERICAN0002 American Electrical Cont4/12/2007 4/12/2007 4/12/2007 (7.00) (700.00) RETRN Returns UKVAT-PS175N0 ASTORSUI0001 Astor Suites 4/12/2007 4/12/2007 4/12/2007 (1,400.00) (8,000.00) RETRN Returns USASTE-PS6N0 ASTORSUI0001 Astor Suites 4/12/2007 4/12/2007 4/12/2007 (480.00) (8,000.00) RETRN Returns USCITY-PS1N0 ASTORSUI0001 Astor Suites 4/12/2007 4/12/2007 4/12/2007 (80.00) (8,000.00) SALES Sales / Invo USCITY-PS1N0 AARONFIT0001 Aaron Fitz Electrical 4/12/2007 4/12/2007 4/12/ SALES Sales / Invo USASTE-PS6N0 AARONFIT0001 Aaron Fitz Electrical 4/12/2007 4/12/2007 4/12/ SALES Sales / Invo USCITY-PS1N0 AARONFIT0001 Aaron Fitz Electrical 4/12/2007 4/12/2007 4/12/ SALES Sales / Invo USASTE-PS6N0 AARONFIT0001 Aaron Fitz Electrical 4/12/2007 4/12/2007 4/12/ SALES Sales / Invo USCITY-PS1N0 AARONFIT0001 Aaron Fitz Electrical 4/12/2007 4/12/2007 4/12/ SALES Sales / Invo USASTE-PS6N0 AARONFIT0001 Aaron Fitz Electrical 4/12/2007 4/12/2007 4/12/ SALES Sales / Invo USCITY-PS1N0 AARONFIT0001 Aaron Fitz Electrical 4/12/2007 4/12/2007 4/12/ SRVCE Service / Rep USASTE-PS6N0 ADAMPARK0001 Adam Park Resort 4/12/2007 4/12/2007 4/12/ SRVCE Service / Rep USCITY-PS1N0 ADAMPARK0001 Adam Park Resort 4/12/2007 4/12/2007 4/12/ SRVCE Service / Rep USASTE-PS6N0 ADAMPARK0001 Adam Park Resort 4/12/2007 4/12/2007 4/12/ SRVCE Service / Rep USCITY-PS1N0 ADAMPARK0001 Adam Park Resort 4/12/2007 4/12/2007 4/12/ SRVCE Service / Rep USASTE-PS6N0 BERRYMED0001 Berry Medical Center 4/12/2007 4/12/2007 4/12/ SRVCE Service / Rep USCITY-PS1N0 BERRYMED0001 Berry Medical Center 4/12/2007 4/12/2007 4/12/ WRNTY Warranty USASTE-PS6N0 AMERICAN0001 American Science Museum 4/12/2007 4/12/2007 4/12/ WRNTY Warranty USCITY-PS1N0 AMERICAN0001 American Science Museum 4/12/2007 4/12/2007 4/12/ WRNTY Warranty USASTE-PS6N0 CENTRALD0001 Central Distributing 4/12/2007 4/12/2007 4/12/ , WRNTY Warranty USCITY-PS1N0 CENTRALD0001 Central Distributing 4/12/2007 4/12/2007 4/12/ , Total (533.45) 16, VAT DAYBOOK 63

68 CHAPTER 8 REPORTS AND ENQUIRY VAT Daybook Exceptions Report - Purchases The VAT Daybook Exceptions Report - Purchasing lists all transactions that have been posted with tax details which are not included in any of the columns of the report ID. System Date: 5/6/2004 5:02:08 PM User Date: 4/12/2007 Date From : 1/1/2007 Date To : 4/12/2007 * L R E Voided Late Invoice Vat Rebate On Settlement Discount EU Transaction Fabrikam, Inc. VAT Daybook Exceptions Report - Purchases Company Page User ID 1 sa Doc.Number Doc Type Tax ID Creditor ID Creditor Name Document Date Posting Date Tax Date Tax Amount Net Amount Invoice USEXMT+PSONO ACETRAVE0001 A Travel Company 4/12/2007 4/12/2007 4/12/ Invoice USEXMT+PSONO ADVANCED0001 Advanced Office Systems 4/12/2007 4/12/2007 4/12/ Invoice USEXMT+PSONO ADVANCED0001 Advanced Office Systems 4/12/2007 4/12/2007 4/12/ Misc Charge USEXMT+PSONO ACETRAVE0001 A Travel Company 4/12/2007 4/12/2007 4/12/ Return UKVAT+PS175N0 ACETRAVE0001 A Travel Company 4/12/2007 4/12/2007 4/12/2007 (875.00) (5,000.00) Return USEXMT+PSONO ACETRAVE0001 A Travel Company 4/12/2007 4/12/2007 4/12/ (5,000.00) Credit Memo UKVAT+PS175N0 ADVANCED0001 Advanced Office Systems 4/12/2007 4/12/2007 4/12/2007 (175.00) (1,000.00) Credit Memo USEXMT+PSONO ADVANCED0001 Advanced Office Systems 4/12/2007 4/12/2007 4/12/ (1,000.00) Finance Charg USEXMT+PSONO ACETRAVE0001 A Travel Company 4/12/2007 4/12/2007 4/12/ , Misc Charge USEXMT+PSONO ATTRACTI00001 Attractive Telephone Co 4/12/2007 4/12/2007 4/12/ , Misc Charge USEXMT+PSONO AMERICAN0001 AmericaCharge 4/12/2007 4/12/2007 4/12/ , Total (1,050.00) (3,064.01) 64 VAT DAYBOOK

69 CHAPTER 8 REPORTS AND ENQUIRY VAT Daybook Exceptions Report - General Entry The VAT Daybook Exceptions Report - General Entry Report lists all General Ledger transactions that have not been included in the VAT Daybook Detail Report. System Date: 14/08/02 3:57:47 PM User Date: 14/08/02 Date From : 01/01/99 Date To : 01/04/99 * L R E Voided Late Invoice Vat Rebate On Settlement Discount EU Transaction Fabrikam Inc. VAT Daybook Exceptions Report - General Entry Company Page User ID 1 sa Doc.Number Doc Type Tax ID Creditor ID Creditor Name Document Date Posting Date Tax Date Tax Amount Net Amount 400 Gen.Entry VAT-%S-%6 01/01/99 01/01/99 01/01/ Gen.Entry VAT-%P-%6 01/01/99 01/01/99 02/02/ Gen.Entry VAT-S-%ST-%8 02/02/99 02/02/99 02/02/ Gen.Entry VAT-P-%PT-%8 12/02/99 12/02/99 12/02/ Total VAT DAYBOOK 65

70 CHAPTER 8 REPORTS AND ENQUIRY VAT Daybook in Use Report The VAT Daybook in Use Report displays which companies have access to the VAT Daybook. You can print it from the Use Vat Daybook window (Microsoft Dynamics GP menu >> Tools >> Setup >> System >> Use Vat Daybook). You can either choose File >> Print or click the print button to print the report. VAT Daybook Column Code Edit List The VAT Daybook Column Code Edit List displays all information pertaining to the selected report ID. The report also lists all the column codes that have been set up along with the tax details IDs. You can print it from the Vat Daybook Reports window (Cards >> Company >> Vat Daybook Reports). You can either choose File >> Print or click the print button to print the report. VAT Calendar Periods List The VAT Calendar Periods list displays the Year, Country Code, the Document Date, first and last day with the number of periods. The return number will be printed for the periods for which the Audit Trail Report is printed. You can print the VAT Calendar Periods List from the Vat Calendar Setup window (Cards >> Company >> Vat Calendar >> Print icon). VAT Daybook Column Code Report Options Use the VAT Daybook Column Code Report Options window to print the defined VAT Daybook column codes of a report ID. The report will also include all Tax Detail IDs that have not been included in any VAT Daybook Report. To print a VAT Column Code Report: 1. Open the VAT Daybook Column Code Report Options window. (Reports >> Company >>Taxes >> Select VAT Daybook Column Code Report in the Report list >> New button) 2. Enter a name in the option field and create a report option to sort or restrict the report. 66 VAT DAYBOOK

71 CHAPTER 8 REPORTS AND ENQUIRY 3. Choose Destination and select a printing destination. Choose OK to close the window. 4. Choose Print in the VAT Daybook Column Code Report Options window. 5. Choose My Reports to open the Add to My Reports window where you can add a report to the My Reports list. Refer to the System User s Guide for more information on My Reports. VAT Column Code Report The VAT Column Code Report will print all the report IDs set up for the selected range of country codes. VAT DAYBOOK 67

72 CHAPTER 8 REPORTS AND ENQUIRY System: User Date: 5/7/2004 2:50:13 PM Fabrikam, Inc. 4/12/2007 VAT Daybook Column Code Report Company Ranges From To Country Code ID GB GB Page: 1 User ID: sa Column Code Tax Detail ID Country Code ID: GB Report ID: Report Description: Default On Vat Viewer: Revision Allowed: Column Code Description Series Tax Detail Description Amount Type Document Type GBVAT Great Britain VAT Return No Yes 01 Box 01 Vat Due in this Period Sales UKVAT-PS175N0 United Kingdom Vat Tax Net Amount Invoices Vat Due in this period on Purchases UKVAT+PS175N0 United Kingdom Vat Tax Net Amount Invoices 04 04Vat Reclaimed in this Period Purchases 06 06Total Value of sales & other Sales Total value of purchases Purchases 08 08Total values of all EU goods Sales Total value of all EU supps Purchases UKVAT+PS175N0 United Kingdom Vat Tax Net Amount Invoices 68 VAT DAYBOOK

73 CHAPTER 8 REPORTS AND ENQUIRY Printing the Reverse Charge Sales List Use the Company Tax Report Options window to print the reverse charge sales list report. The report prints the value of reverse chargeable sales for the selected period per customer. To print the Reverse Charge Sales List: 1. Open the Company Tax Report Options window. (Reports >> Company >>Taxes >> Select Reverse Charge Sales List in the Report list >> New/Modify button) 2. Enter a name in the option field and create a report option to sort or restrict the report. 3. Select the sorting method for the information that appears on the report. 4. The View History By field displays Calendar as the default selection by which to display the reverse charge amount in the report. This field is unavailable to the user. 5. The Year field displays the current Microsoft Dynamics GP system date for the current user by default. This field is unavailable to the user. 6. Choose Insert to insert the selected range in the restrictions list. 7. Choose Remove to remove the range from the restrictions list. 8. Choose Destination and select a printing destination. Choose OK to close the window. 9. Choose Print to print the report. 10. Choose My Reports to open the Add to My Reports window where you can add a report to the My Reports list. Refer to the System User s Guide for more information on My Reports. 11. Choose Save to save, and clear to clear the values displayed in the window. 12. Choose Delete to delete the report option displayed in the window. VAT DAYBOOK 69

74 CHAPTER 8 REPORTS AND ENQUIRY Tax ID Exceptions Report The Tax ID Exceptions Report will print all the Tax IDs that have not been included in any of the report IDs. System: User Date: 5/7/2004 4/12/ :32:29 AM Fabrikam, Inc. VAT Daybook Exceptions Report Company Page: User ID: 1 sa Tax Detail ID Tax Detail Description Tax Type AUSSTE+PS0N0 AUSSTE+PS20N0 AUSSTE-PS20N0 CANABPST+PS6N0 CANABPST-PS6N0 CANGST+PS7N0 CANGST+PS7T0 CANGST+TIP7N0 CANGST+TIP7T0 CANGST-PS7N0 CANGST-PS7T0 CANGST-TIP7N0 CANGST-TIP7T0 CANONPST+PS8N0 CANONPST-PS8N0 CANPQQST+PS8N0 CANPQQST-PST8N0 CANZR+PS0N0 CANZR-PSS0N0 CPEIPST+PST10N2 CPEIPST-PST10N2 NZGST+PS125N0 NZGST+TIP125N0 NZGST-PS125N0 NZGST-TIP125N0 NZZR+PS0N0 NZZR-PS0N0 USASTE+PS6N0 USASTE-PS6N0 USCITY+PS1N0 USCITY-PS1N0 USEXDTY-PC5N0 USEXMT+PSONO USEXMT-PS0N0 USEXPRT-DAU20N9 USIMPRT+DAU20N9 USSFCITY-PAD4N8 Exempt Purchases-Australia NSW State Tax NSW State Tax Alberta PST Alberta PST Nontaxable GST-Canada Taxable GST-Canada GST Included in Price-Canada GST Included in Price-Canada Nontaxable GST-Canada Taxable GST-Canada GST Included in Price-Canada GST Included in Price-Canada Ontario PST Ontario PST QUEBEC QST-PRODUCTS QUEBEC QST-PRODUCTS Zero-Rated-Canada Zero-Rated-Canada PEI PST PEI PST GST-New Zealand GST Included in Price-NZ GST-New Zealand GST Included in Price-NZ Zero-Rated-New Zealand Zero-Rated-New Zealand State Sales Tax State Sales Tax Chicago City Sales Tax Chicago City Sales Tax USA Duty on Sales Exempt Purchases-USA Exempt Sales-USA Exprot Tax-USA USA Import Tax Springfield City Tax Purchases Purchases Sales Purchases Sales Purchases Purchases Purchases Purchases Sales Sales Sales Sales Purchases Sales Purchases Sales Purchases Sales Purchases Sales Purchases Purchases Sales Sales Purchases Sales Purchases Sales Purchases Sales Sales Purchases Sales Sales Purchases Sales The above Tax Ids are not included in any of the VAT Daybook Reports 70 VAT DAYBOOK

75 CHAPTER 8 REPORTS AND ENQUIRY Printing a VAT Return Use the VAT Return window to print VAT reports to submit to the government. You can print summary and detailed VAT information for a specified period. We recommend that the users use this window to generate the VAT return for the UK. You can save VAT report IDs and reprint reports at a later time. To print a VAT Return: 1. Open the VAT Return window. (Microsoft Dynamics GP menu >> Tools >> Routines >> Company >> VAT Return) 2. Enter or select a report ID and its description. 3. Enter the starting and ending dates for the report. Each VAT Report ID you create must have a unique starting date. You cannot use the same starting date on more than one report ID. 4. Choose Calculate to display the VAT return information. You must calculate VAT information before you can save the report ID. 5. To save the report, choose Save. You also must save the report before you can print it. 6. To print the report, choose Print. The VAT Return Print Options window opens. 7. Mark the reports to print Summary, Detail, Tax Detail, or Exception. VAT DAYBOOK 71

76 CHAPTER 8 REPORTS AND ENQUIRY 8. Choose Print to print the reports. Viewing VAT columns You can use the VAT Column Viewer to view the VAT value in the columns for a transaction which will appear on the VAT Daybook report. The column definition of the VAT Viewer is determined by the column code specified in the VAT Daybook Reports window. You also can select a report ID other than the default report ID. To view the VAT columns: 1. Open the VAT Column Viewer window. (Transactions >> Sales/Purchasing >> Transaction Entry >> Additional >> VAT Column Viewer) 2. To view more information about the report ID, click the Report ID link which will open the VAT Daybook Reports window. Refer to Setting up VAT Daybook report IDs and column codes on page 6 for more information. All the amounts will be displayed in the functional currency. Generating the VAT return for the UK You can generate the summary and detailed UK VAT report for a specific period using the VAT Return window (Microsoft Dynamics GP menu >> Tools >> Routines >> Company >> VAT 100). To do this, you must mark the Enable VAT 100 checkbox in the Company Setup Options window (Microsoft Dynamics GP menu >> Tools >> Setup >> Company >> Company >> Options button). Refer to the Microsoft Dynamics GP documentation for more information. Viewing the reverse charge VAT for sales transactions Use the Sales Tax Summary Enquiry window to view the reverse charge tax information for posted sales transactions. Refer to the Receivables Management and Sales Order Processing documentation for more information on viewing transaction information. 72 VAT DAYBOOK

77 CHAPTER 8 REPORTS AND ENQUIRY To view the reverse charge VAT for sales transactions: 1. Open the Sales Tax Summary Enquiry window. (Enquiry >> Sales >> Transaction by Debtor/Transaction by Document >> Select a document >> Document Number link >> Tax expansion button) (Enquiry >> Sales >> Sales Documents >> Select a document >> Document Number link >> Tax expansion button) The scrolling window displays the reverse charge tax information, if any, for the document you have selected in the Sales Tax Enquiry windows. 2. Choose OK to close the window. Viewing the reverse charge VAT for purchasing transactions Use the Purchasing Tax Enquiry window to view the reverse charge tax information for posted purchasing transactions. Refer to the Payables Management and Purchase Order Processing documentation for more information on viewing transaction information. VAT DAYBOOK 73

78 CHAPTER 8 REPORTS AND ENQUIRY To view the reverse charge VAT for purchasing transactions: 1. Open the Purchasing Tax Enquiry window. (Enquiry >> Purchasing >> Transaction by Creditor/ Transaction by Document >> Document Number link >> Tax expansion button) (Enquiry >> Purchasing >> Purchase Order Documents >> Select a Creditor ID or Document Number >> Select a document in the scrolling window >> Click the PO Number link >> Tax expansion button) (Enquiry >> Purchasing >> Transaction by Creditor/ Transaction by document >> Select a Shipment/Invoice document type >> Document No. link >> Tax expansion button) The scrolling window displays the reverse charge tax information, if any, for the document you have selected in the Purchasing Tax Enquiry windows. 2. Choose OK to close the window. Viewing the reverse charge VAT for Sales Order Processing transactions You can view the reverse charge VAT calculated for a Sales Order Processing transaction in the Sales Tax Summary Entry window (Transactions >> Sales >> Sales Transaction Entry >> Select a Customer ID >> Tax expansion button). You can also view the reverse charge VAT applicable on the document in the Reverse Charge Tax field of the Sales Order Processing Invoice that is printed when you post the document. This tax amount is payable by the customer directly to the tax authority. 74 VAT DAYBOOK

79 CHAPTER 8 REPORTS AND ENQUIRY To view the reverse charge VAT for Sales Order Processing transactions: 1. Open the Sales Tax Summary Entry window. (Transactions >> Sales >> Sales Transaction Entry >> Select a Customer ID >> Tax expansion button) You can view the reverse charge VAT that is automatically calculated on the Sales Order Processing transactions that fulfill the required criteria. Viewing the reverse charge VAT for Purchase Order Processing transactions You can view the reverse charge VAT calculated for a Purchase Order Processing transaction in the purchasing Tax Summary Entry windows. VAT DAYBOOK 75

80 CHAPTER 8 REPORTS AND ENQUIRY To view the reverse charge VAT for Purchase Order Processing transactions: 1. Open the purchasing tax summary entry window. (Transactions >> Purchasing >> Purchase Order Entry >> Select a Creditor ID >> Tax expansion button) (Transactions >> Purchasing >> Receivings Transaction Entry >> Select a Creditor ID >> Tax expansion button) (Transactions >> Purchasing >> Purchase Order Entry >> Select a Creditor ID >> Tax expansion button) You can view the reverse charge VAT that is automatically calculated on the Purchase Order Processing transactions that fulfill the required criteria. 76 VAT DAYBOOK

Microsoft Dynamics GP. VAT Daybook

Microsoft Dynamics GP. VAT Daybook Microsoft Dynamics GP VAT Daybook Copyright Copyright 2012 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this document, including

More information

Microsoft Dynamics GP Fixed Assets Enhancements

Microsoft Dynamics GP Fixed Assets Enhancements Microsoft Dynamics GP 2013 Fixed Assets Enhancements Copyright Copyright 2012 Microsoft Corporation. All rights reserved. Complying with all applicable copyright laws is the responsibility of the user.

More information

Microsoft Dynamics GP. Taxes On Returns

Microsoft Dynamics GP. Taxes On Returns Microsoft Dynamics GP Taxes On Returns Copyright Copyright 2010 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this document,

More information

Microsoft Dynamics GP. Date Effective Tax Rates

Microsoft Dynamics GP. Date Effective Tax Rates Microsoft Dynamics GP Date Effective Tax Rates Copyright Copyright 2012 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this

More information

Microsoft Dynamics GP. COA Ecuador

Microsoft Dynamics GP. COA Ecuador Microsoft Dynamics GP COA Ecuador Copyright Copyright 2010 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this document, including

More information

Microsoft Dynamics GP. Electronic Bank Management

Microsoft Dynamics GP. Electronic Bank Management Microsoft Dynamics GP Electronic Bank Management Copyright Copyright 2010 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this

More information

Microsoft Dynamics GP. Collection and Payment Methods - Withholds

Microsoft Dynamics GP. Collection and Payment Methods - Withholds Microsoft Dynamics GP Collection and Payment Methods - Withholds Copyright Copyright 2011 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views

More information

Microsoft Dynamics GP. GST and Australian Taxes

Microsoft Dynamics GP. GST and Australian Taxes Microsoft Dynamics GP GST and Australian Taxes Copyright Copyright 2008 Microsoft Corporation. All rights reserved. Complying with all applicable copyright laws is the responsibility of the user. Without

More information

Microsoft Dynamics GP. GST and Australian Taxes

Microsoft Dynamics GP. GST and Australian Taxes Microsoft Dynamics GP GST and Australian Taxes Copyright Copyright 2010 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this

More information

Microsoft Dynamics GP. Receivables Management

Microsoft Dynamics GP. Receivables Management Microsoft Dynamics GP Receivables Management Copyright Copyright 2012 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this document,

More information

Features for Singapore

Features for Singapore Features for Singapore Microsoft Corporation Published: November 2006 Microsoft Dynamics is a line of integrated, adaptable business management solutions that enables you and your people to make business

More information

Exact Globe Next Cash Flow. User Guide

Exact Globe Next Cash Flow. User Guide Exact Globe Next Cash Flow User Guide Exact Globe Next Cash Flow Despite the continued efforts of Exact to ensure that the information in this document is as complete and up-to-date as possible, Exact

More information

Spanish EU Sales List 2010 (349 Report)

Spanish EU Sales List 2010 (349 Report) Microsoft Dynamics AX Spanish EU Sales List 2010 (349 Report) White Paper Date: January 2010 Table of contents Introduction to the European Union (EU) sales list forms Setting up Microsoft Dynamics AX

More information

Sage Bank Services User's Guide

Sage Bank Services User's Guide Sage 300 2017 Bank Services User's Guide This is a publication of Sage Software, Inc. Copyright 2016. Sage Software, Inc. All rights reserved. Sage, the Sage logos, and the Sage product and service names

More information

Oracle Financials. for Spain Documentation Update. RELEASE September, Enabling the Information Age

Oracle Financials. for Spain Documentation Update. RELEASE September, Enabling the Information Age Oracle Financials for Spain Documentation Update RELEASE 11.0.1 September, 1998 Enabling the Information Age Copyright_1998, Oracle Corporation. All rights reserved. The Programs (which include both the

More information

Myridas Financial Enhancements User Guide

Myridas Financial Enhancements User Guide Myridas Financial Enhancements User Guide Version 12 for Dynamics GP 2013 Document version: 1.0 Date: 31 st March 2013 CONTENTS Contents CONTENTS... 2 FINANCIALS ENHANCEMENTS... 3 SETUP... 3 1. PAYMENT

More information

Microsoft Dynamics AX Features for Israel. White Paper. Date: November 2009

Microsoft Dynamics AX Features for Israel. White Paper. Date: November 2009 Microsoft Dynamics AX 2009 Features for Israel White Paper Date: November 2009 Table of Contents Introduction... 4 Enabling the Israel-specific features... 4 Validations... 4 Company information... 5 Employees...

More information

Microsoft Dynamics NAV Prepayments. Prepayments Supportability White Paper

Microsoft Dynamics NAV Prepayments. Prepayments Supportability White Paper Microsoft Dynamics NAV 2013 - Prepayments Prepayments Supportability White Paper Released: January 17, 2013 Conditions and Terms of Use Microsoft Confidential This training package content is proprietary

More information

Oracle. Financials Cloud Implementing Financials for EMEA. Release 13 (update 18B)

Oracle. Financials Cloud Implementing Financials for EMEA. Release 13 (update 18B) Oracle Financials Cloud Release 13 (update 18B) Release 13 (update 18B) Part Number E94321-01 Copyright 2011-2018, Oracle and/or its affiliates. All rights reserved. Authors: Sampriti Singha Roy, Mary

More information

Guide to Credit Card Processing

Guide to Credit Card Processing CBS ACCOUNTS RECEIVABLE Guide to Credit Card Processing version 2007.x.x TL 25476 (07/27/12) Copyright Information Text copyright 1998-2012 by Thomson Reuters. All rights reserved. Video display images

More information

Sage Tax Services User's Guide

Sage Tax Services User's Guide Sage 300 2017 Tax Services User's Guide This is a publication of Sage Software, Inc. Copyright 2016. Sage Software, Inc. All rights reserved. Sage, the Sage logos, and the Sage product and service names

More information

Implementation Wizard

Implementation Wizard Implementation Wizard User Guide 125 N. Kickapoo Lincoln, Illinois 62656 integrity-data.com 888.786.6162 **Updated Documentation** visit our website to check for updated user guides. P a g e 1 32 Copyright

More information

ACS YEAR-END FREQUENTLY ASKED QUESTIONS. General Ledger

ACS YEAR-END FREQUENTLY ASKED QUESTIONS. General Ledger ACS YEAR-END FREQUENTLY ASKED QUESTIONS This document includes answers to frequently asked questions about the following ACS modules: General Ledger Payroll Accounts Payable Accounts Receivable General

More information

Advanced Financial Statements

Advanced Financial Statements Sage 100 Fund Accounting Advanced Financial Statements STUDENT WORKBOOK SAGE LEARNING SERVICES Important Notice: Authentic Sage 100 Fund Accounting training guides display a holographic image on the front

More information

Classic Payroll 2013 Federal Tax Rates CASELLE

Classic Payroll 2013 Federal Tax Rates CASELLE Classic Payroll 2013 Federal Tax Rates CASELLE Copyright Copyright 2013 Caselle, Inc. All rights reserved. This manual has been prepared by the Caselle documentation team for use by customers and licensees

More information

Enhanced Retirement Plans

Enhanced Retirement Plans Providing Products & Services to Enhance Microsoft Dynamics GP Payroll and Human Resources Enhanced Retirement Plans User Guide For Microsoft Dynamics GP Version 2010 125 N. Kickapoo Lincoln, Illinois

More information

Sage Bank Services User's Guide. May 2017

Sage Bank Services User's Guide. May 2017 Sage 300 2018 Bank Services User's Guide May 2017 This is a publication of Sage Software, Inc. 2017 The Sage Group plc or its licensors. All rights reserved. Sage, Sage logos, and Sage product and service

More information

Negative Deductions Enhancement

Negative Deductions Enhancement Negative Deductions Enhancement User Guide For Microsoft Dynamics GP Version 2015 or 2016 125 N. Kickapoo Lincoln, Illinois 62656 integrity-data.com 888.786.6162 **Updated Documentation** visit our website

More information

Standard Accounts User Guide

Standard Accounts User Guide Standard Accounts User Guide v. 8.1, Windows February 2016 Table of Contents Table of Contents INTRODUCTION... 4 Installation and Starting of Standard Accounts... 4 Starting Standard Accounts for the first

More information

Policy. Chapter 6. Accessing the Policy. Nexsure Training Manual - CRM. In This Chapter

Policy. Chapter 6. Accessing the Policy. Nexsure Training Manual - CRM. In This Chapter Nexsure Training Manual - CRM Policy In This Chapter Accessing the Policy Adding a Thank You Letter Editing the Policy Adding, Editing and Removing Assignments Admitted Carrier Identification Summary of

More information

Currency Manager Release 2015

Currency Manager Release 2015 Currency Manager Release 2015 Disclaimer This document is provided as-is. Information and views expressed in this document, including URL and other Internet Web site references, may change without notice.

More information

Microsoft Dynamics TM GP QuickBooks TM Mover s Guide Executive Overview. By Richard L. Whaley and Leslie Vail of Accolade Publications, Inc.

Microsoft Dynamics TM GP QuickBooks TM Mover s Guide Executive Overview. By Richard L. Whaley and Leslie Vail of Accolade Publications, Inc. Microsoft Dynamics TM GP QuickBooks TM Mover s Guide Executive Overview By Richard L. Whaley and Leslie Vail of Accolade Publications, Inc. Introduction Congratulations! Your business has grown to the

More information

Vivid Reports 2.0 Budget User Guide

Vivid Reports 2.0 Budget User Guide B R I S C O E S O L U T I O N S Vivid Reports 2.0 Budget User Guide Briscoe Solutions Inc PO BOX 2003 Station Main Winnipeg, MB R3C 3R3 Phone 204.975.9409 Toll Free 1.866.484.8778 Copyright 2009-2014 Briscoe

More information

edigeocompliance Country Guide Poland

edigeocompliance Country Guide Poland TRAINING TRAINING MANUAL MANUAL edigeocompliance Country Guide Poland From the edienterprise suite of forwarding and logistics software 2012 CargoWise Poland Country Guide - CONTENTS CONTENTS 1 OVERVIEW...

More information

ProSystem fx. Consolidated. Electronic Filing. Quick Start Guide

ProSystem fx. Consolidated. Electronic Filing. Quick Start Guide ProSystem fx Electronic Filing Consolidated Electronic Filing Quick Start Guide January 2015 Copyright 2015, CCH INCORPORATED. A Wolters Kluwer business. All Right Reserved. Material in this publication

More information

Fixed Assets Inventory

Fixed Assets Inventory Fixed Assets Inventory Preliminary User Manual User Manual Edition: 2/3/2006 For Program version: 2/3/2006 Your inside track for making your job easier! Tenmast Software 132 Venture Court, Suite 1 Lexington,

More information

UCAA Expansion Application Insurer User Guide December 2017

UCAA Expansion Application Insurer User Guide December 2017 UCAA Expansion Application Insurer User Guide December 2017 2017 National Association of Insurance Commissioners All rights reserved. Revised Edition National Association of Insurance Commissioners NAIC

More information

Chapter 6. Company Tasks. In this chapter:

Chapter 6. Company Tasks. In this chapter: Chapter 6 Company Tasks This chapter covers the tasks contained within Sage 50 Accounts Company module. The chapter introduces the topics of prepayments, accruals, budgeting, fixed asset handling and VAT

More information

Year 2016: Sage BusinessWorks Year End Tips Guide

Year 2016: Sage BusinessWorks Year End Tips Guide Year 2016: Sage BusinessWorks Year End Tips Guide Table of Contents Topic Page Year 2016: Sage BusinessWorks Year End Tips Guide... 1 Table of Contents... 1 Year 2016: Year End Tips for Sage BusinessWorks...

More information

Oracle. Financials Cloud Using Financials for EMEA. Release 13 (update 17D)

Oracle. Financials Cloud Using Financials for EMEA. Release 13 (update 17D) Oracle Financials Cloud Release 13 (update 17D) Release 13 (update 17D) Part Number E89164-01 Copyright 2011-2017, Oracle and/or its affiliates. All rights reserved. Authors: Asra Alim, Vrinda Beruar,

More information

Invoice, Statement, and Deposit Slip Layout Variables

Invoice, Statement, and Deposit Slip Layout Variables CLIENT BOOKKEEPING SOLUTION ACCOUNTS RECEIVABLE Invoice, Statement, and Deposit Slip Layout s version 2007.x.x TL 20756 (05/29/09) Copyright Information Text copyright 997-2009 by Thomson Reuters/Tax &

More information

Oracle. Financials Cloud Implementing Tax. Release 13 (update 18B)

Oracle. Financials Cloud Implementing Tax. Release 13 (update 18B) Oracle Financials Cloud Release 13 (update 18B) Release 13 (update 18B) Part Number E94349-01 Copyright 2011-2018, Oracle and/or its affiliates. All rights reserved. Authors: Naini Khajanchi, Mary Kalway,

More information

Classic Payroll Federal Tax Rates 2015 CASELLE

Classic Payroll Federal Tax Rates 2015 CASELLE Classic Payroll Federal Tax Rates 2015 CASELLE TABLE OF CONTENTS i Copyright Copyright 2014 Caselle, Inc. All rights reserved. This manual has been prepared by the Caselle documentation team for use by

More information

FOR USE FROM APRIL 2019

FOR USE FROM APRIL 2019 MAKING TAX DIGITAL FOR VAT FOR USE FROM APRIL 2019 IMPORTANT DOCUMENT PLEASE READ CAREFULLY BEFORE SUBMITTING YOUR MTD VAT RETURN FROM APRIL 2019 Web: integrity-software.net Company Reg No. 3410598 Page

More information

TAA Scheduling. User s Guide

TAA Scheduling. User s Guide TAA Scheduling User s Guide While every attempt is made to ensure both accuracy and completeness of information included in this document, errors can occur, and updates or improvements may be implemented

More information

Munis Budget. Procedural Documentation for East Stroudsburg Area School Disctrict. or more information, visit

Munis Budget. Procedural Documentation for East Stroudsburg Area School Disctrict. or more information, visit Munis Budget Procedural Documentation for East Stroudsburg Area School Disctrict or more information, visit www.tylertech.com. TABLE OF CONTENTS Central Budget Entry... 4 Next Year Budget Reports... 13

More information

Set Up and Generate Payroll Direct Deposits (Canada)

Set Up and Generate Payroll Direct Deposits (Canada) Set Up and Generate Payroll Direct Deposits (Canada) Direct deposits in Sage 300 CRE is a process by which you generate a text file to electronically submit to your bank(s) as well as print notifications

More information

Microsoft Dynamics GP Payable Management. Series GP 2018

Microsoft Dynamics GP Payable Management. Series GP 2018 Microsoft Dynamics GP Payable Management Series GP 2018 Contents Course Objectives 7 Payables Management Setup 11 1.1 Payables Management Setup 15 1.2 Payables Setup Options 21 1.3 Creditor Class Maintenance

More information

Oracle. Financials Cloud Implementing Tax. Release 13 (update 17D)

Oracle. Financials Cloud Implementing Tax. Release 13 (update 17D) Oracle Financials Cloud Release 13 (update 17D) Release 13 (update 17D) Part Number E89160-01 Copyright 2011-2017, Oracle and/or its affiliates. All rights reserved. Authors: Mary Kalway, Asra Alim, Reshma

More information

Microsoft Dynamics GP: Receivables Management Year-End Closing Procedures

Microsoft Dynamics GP: Receivables Management Year-End Closing Procedures 611 S. Farwell St., Eau Claire WI 54701 support@hoopsinc.com PH: (715) 831-9737 FAX (715) 831-9760 Introduction Microsoft Dynamics GP: Receivables Management Year-End Closing Procedures This article contains

More information

Enhanced Retirement Plans

Enhanced Retirement Plans Enhanced Retirement Plans User Guide For Microsoft Dynamics GP Version 2015 125 N. Kickapoo Lincoln, Illinois 62656 integrity-data.com 888.786.6162 **Updated Documentation** visit our website to check

More information

Pegasus Opera 3 (2.60) Pegasus Scheduler (2.20) Payroll Upgrade Checklists guide Year End & Tax Year

Pegasus Opera 3 (2.60) Pegasus Scheduler (2.20) Payroll Upgrade Checklists guide Year End & Tax Year Pegasus Opera 3 (2.60) Pegasus Scheduler (2.20) Payroll Upgrade Checklists guide 2018-19 Year End & 2019-20 Tax Year Checklists guide Version 1.0 2018-19 year end & 2019-20 tax year Opera 3 (2.60) Scheduler

More information

RESOLV CONTAINER MANAGEMENT DESKTOP

RESOLV CONTAINER MANAGEMENT DESKTOP RESOLV CONTAINER MANAGEMENT DESKTOP USER MANUAL Version 9.2 for HANA Desktop PRESENTED BY ACHIEVE IT SOLUTIONS Copyright 2016 by Achieve IT Solutions These materials are subject to change without notice.

More information

Microsoft Dynamics GP Year-End Close. Manual

Microsoft Dynamics GP Year-End Close. Manual Microsoft Dynamics GP Year-End Close Manual 2017 Contact FMT Consultants Support Customer Care customercare@fmtconsultants.com (760) 930-6400 option 1 Sales Felipe Jara fjara@fmtconsultants.com (760) 930-6451

More information

Project Budgeting Release 2015

Project Budgeting Release 2015 Project Budgeting Release 2015 Disclaimer This document is provided as-is. Information and views expressed in this document, including URL and other Internet Web site references, may change without notice.

More information

Avalara Tax Connect version 2017

Avalara Tax Connect version 2017 version 2017 Disclaimer This document is for informational purposes only and is subject to change without notice. This document and its contents, including the viewpoints, dates and functional content

More information

Greenshades Garnishments User Guide

Greenshades Garnishments User Guide Greenshades Garnishments User Guide 1. 1. General Overview... 4 1.1. About this Guide... 4 1.2. How Greenshades Garnishments Works... 4 1.3. Default Deduction Setup within GP... 5 1.4. Employee Deduction

More information

Margin Direct User Guide

Margin Direct User Guide Version 2.0 xx August 2016 Legal Notices No part of this document may be copied, reproduced or translated without the prior written consent of ION Trading UK Limited. ION Trading UK Limited 2016. All Rights

More information

Viive 5.2 QUICK START GUIDE MAC-VIIVE

Viive 5.2 QUICK START GUIDE MAC-VIIVE Viive 5.2 QUICK START GUIDE 1-855-MAC-VIIVE ii Contents PUBLICATION DATE January 2016 COPYRIGHT 2016 Henry Schein, Inc. All rights reserved. No part of this publication may be reproduced, transmitted,

More information

ebill.credco.com Quick-Start Guide

ebill.credco.com Quick-Start Guide for Paying by Credit Card and Managing Bills Online Statements Notice Reproduction or use of any part of this document without express written permission from CoreLogic Credco is prohibited. By accepting

More information

Withholding Tax Reporting for Israel

Withholding Tax Reporting for Israel ERP CLOUD Withholding Tax Reporting for Israel Oracle Financials for EMEA Table of Contents 1. Purpose of the document... 2 2. Assumptions and Prerequisites... 2 3. Feature Specific Setup... 3 Create a

More information

Basic Sales Tax Setup for QuickBooks (Desktop)

Basic Sales Tax Setup for QuickBooks (Desktop) Basic Sales Tax Setup for QuickBooks (Desktop) Who should use this guide: Accountant Anyone in the office responsible for QuickBooks setup or exporting to QuickBooks What you will learn in this guide:

More information

MICROSOFT DYNAMICS-SL ASI-BUDGET/FORECASTING MANUAL

MICROSOFT DYNAMICS-SL ASI-BUDGET/FORECASTING MANUAL MICROSOFT DYNAMICS-SL ASI-BUDGET/FORECASTING MANUAL 140 Washington Ave North Haven, CT 06473 203.239.7740 www.asillc.com sales@asillc.com PREPARED BY ACCOUNTING SYSTEM INTEGRATORS, LLC Last Revision: March

More information

Withholding Tax Reporting for Spain

Withholding Tax Reporting for Spain ERP CLOUD Withholding Tax Reporting for Spain Fusion Financials for EMEA Table of Contents 1. Purpose of the document... 2 2. Assumptions and Prerequisites... 2 3. Feature Specific Setup... 2 Create a

More information

WinTen² Budget Management

WinTen² Budget Management Budget Management Preliminary User Manual User Manual Edition: 4/13/2005 Your inside track for making your job easier! Tenmast Software 132 Venture Court, Suite 1 Lexington, KY 40511 www.tenmast.com Support:

More information

Epicor Tax Connect for Eclipse. Release 9.0.3

Epicor Tax Connect for Eclipse. Release 9.0.3 Epicor Tax Connect for Eclipse Release 9.0.3 Disclaimer This document is for informational purposes only and is subject to change without notice. This document and its contents, including the viewpoints,

More information

Make sure the client aged receivables balance to the general ledger total. Write off client balances. Pick a date that makes sense: a. b. c. d.

Make sure the client aged receivables balance to the general ledger total. Write off client balances. Pick a date that makes sense: a. b. c. d. Overview This document provides conversion tips and instructions for entering client and general ledger beginning balances Entering beginning balances in Nexsure entails bringing balances forward from

More information

DUS DocWay TM Loan Documents User Guide. January 2019

DUS DocWay TM Loan Documents User Guide. January 2019 DUS DocWay TM Loan Documents User Guide January 2019 Table of Contents Getting Started with DUS DocWay... 1 Welcome Page Navigation... 3 Loan Documents Navigation... 6 Update Document Category and Type...

More information

CHAPTER 8: PERIOD-END PROCEDURES

CHAPTER 8: PERIOD-END PROCEDURES Chapter 8: Period-End Procedures CHAPTER 8: PERIOD-END PROCEDURES Training Objectives Actively participating in this chapter helps you: Understand the procedures that are completed at the end of an accounting

More information

Tutorial. Morningstar DirectSM. Quick Start Guide

Tutorial. Morningstar DirectSM. Quick Start Guide April 2008 Software Tutorial Morningstar DirectSM Quick Start Guide Table of Contents Quick Start Guide Getting Started with Morningstar Direct Defining an Investment Lineup or Watch List Generating a

More information

HPE Project and Portfolio Management Center

HPE Project and Portfolio Management Center HPE Project and Portfolio Management Center Software Version: 9.41 Financial Management User's Guide Go to HELP CENTER ONLINE http://ppm-help.saas.hpe.com Document Release Date: March 2017 Software Release

More information

PriceMyLoan.com Lender AE Guide. Revision 0707

PriceMyLoan.com Lender AE Guide. Revision 0707 PriceMyLoan.com Revision 0707 PriceMyLoan INTRODUCTION... 3 CUSTOMER SUPPORT... 3 VIEWING LOAN SUBMISSIONS... 4 AUTOMATIC EMAIL NOTIFICATIONS... 5 PRICING ENGINE COMMON SCENARIOS... 6 Running the LPE on

More information

MARATHON FINANCIAL ACCOUNTING END OF CALENDAR YEAR

MARATHON FINANCIAL ACCOUNTING END OF CALENDAR YEAR The following instructions will guide you through the end of a calendar year process. This process includes steps for W-2 Forms, Electronic W-2 Filing, Clear Calendar Year to Date Totals, Tax Table updates

More information

Oracle Financials Cloud Using Financials for Asia/Pacific. Release 13 (update 18C)

Oracle Financials Cloud Using Financials for Asia/Pacific. Release 13 (update 18C) Release 13 (update 18C) Release 13 (update 18C) Part Number E98438-01 Copyright 2011-2018, Oracle and/or its affiliates. All rights reserved. Authors: Asra Alim, Vrinda Beruar, Barbara Kostelec, Robert

More information

Oracle Hospitality Cruise Shipboard Property Management System Currency Exchange User Guide Release 8.0 E

Oracle Hospitality Cruise Shipboard Property Management System Currency Exchange User Guide Release 8.0 E Oracle Hospitality Cruise Shipboard Property Management System Currency Exchange User Guide Release 8.0 E84872-01 October 2017 Copyright 1995, 2017, Oracle and/or its affiliates. All rights reserved. This

More information

Palladium Company Setup Guide

Palladium Company Setup Guide Palladium Company Setup Guide This document will assist you in setting-up your Palladium Company prior to processing transactions. Contents Setting up Linked Accounts... 2 Purpose of Linked Accounts...

More information

Interest Calculation Add-on Supernova Add-on for SAP Business One

Interest Calculation Add-on Supernova Add-on for SAP Business One User Manual Supernova Add-on for SAP Business One Date: October 2013 Copyright 2013 Supernova Consulting Ltd. All rights reserved. This content may not be reproduced or transmitted in any form or by any

More information

VAT INCREASE 14% to 15% on 1 April TurboCASH5

VAT INCREASE 14% to 15% on 1 April TurboCASH5 VAT INCREASE 14% to 15% on 1 April 2018 TurboCASH5 Date : 6 May 2018 2018 Philip Copeman This document contains proprietary information that is protected by copyright law. All rights are reserved. No part

More information

Sage Accounting A Step by Step Guide

Sage Accounting A Step by Step Guide Sage Accounting A Step by Step Guide Integra Accounting Limited Chartered Certified Accountants 5 Station Road Hinckley Leicestershire LE10 1AW Tel: 01455 238551 Email: enquiries@integra-accounting.co.uk

More information

ANZ TRANSACTIVE GLOBAL PAYMENTS USER GUIDE

ANZ TRANSACTIVE GLOBAL PAYMENTS USER GUIDE ANZ TRANSACTIVE GLOBAL PAYMENTS USER GUIDE May 2018 CONTENTS Introduction 4 About this guide... 4 Online Help... 4 Online Resources... 4 Further Assistance... 4 Payments 5 Overview 5 Payments menu options...

More information

Oracle Financials. for the Netherlands Documentation Updates. RELEASE 11 August, Enabling the Information Age

Oracle Financials. for the Netherlands Documentation Updates. RELEASE 11 August, Enabling the Information Age Oracle Financials for the Netherlands Documentation Updates RELEASE 11 August, 1998 Enabling the Information Age Copyright 1998, Oracle Corporation. All rights reserved. The Programs (which include both

More information

Additional Medicare Tax User Guide for QuickBooks

Additional Medicare Tax User Guide for QuickBooks Additional Medicare Tax User Guide for QuickBooks Beginning tax year 2013, a new Additional Medicare Tax (a provision of the Affordable Care Act) of 0.9 percent applies to individuals Medicare taxable

More information

Insurance Tracking with Advisors Assistant

Insurance Tracking with Advisors Assistant Insurance Tracking with Advisors Assistant Client Marketing Systems, Inc. 880 Price Street Pismo Beach, CA 93449 800 643-4488 805 773-7985 fax www.advisorsassistant.com support@climark.com 2015 Client

More information

Checkbook Table of Contents. Receive Money Overview Spend Money Overview

Checkbook Table of Contents. Receive Money Overview Spend Money Overview Checkbook Table of Contents Receive Money Overview Spend Money Overview Changing Receive Money transactions To change a Receive Money transaction To change a recurring Receive Money template's name or

More information

E-Filing. E-Filing. A Guide for Insolvency Professionals. Innovation, Science and Economic Development Canada

E-Filing. E-Filing. A Guide for Insolvency Professionals. Innovation, Science and Economic Development Canada Innovation, Science and Economic Development Canada Office of the Superintendent of Bankruptcy Canada Innovation, Sciences et Développement économique Canada Bureau du surintendant des faillites Canada

More information

Oracle Financials. for Australia Documentation Update. RELEASE June, Enabling the Information Age

Oracle Financials. for Australia Documentation Update. RELEASE June, Enabling the Information Age Oracle Financials for Australia Documentation Update RELEASE 11.0.1 June, 1998 Enabling the Information Age Copyright 1998, Oracle Corporation. All rights reserved. The Programs (which include both the

More information

Withholding Tax Reporting for Italy

Withholding Tax Reporting for Italy ERP CLOUD Withholding Tax Reporting for Italy Oracle Financials for EMEA Table of Contents 1. Purpose of the document... 2 2. Assumptions and Prerequisites... 2 3. Feature Specific Setup... 2 Create a

More information

INTUIT PROA DVISOR PR O G RAM. QuickBooks Desktop Certification

INTUIT PROA DVISOR PR O G RAM. QuickBooks Desktop Certification INTUIT PROA DVISOR PR O G RAM QuickBooks Desktop Certification Getting Started Guide Table of Contents TABLE OF CONTENTS QuickBooks ProAdvisor Training Objectives... 1 What s in the Workbook?... 2 Chapter

More information

Palladium Company Setup Guide

Palladium Company Setup Guide Palladium Company Setup Guide This document will assist you in setting-up your Palladium Company prior to processing transactions. Contents Setting Up Linked Accounts... 2 Purpose of Linked Accounts...

More information

VisionVPM General Ledger Module User Guide

VisionVPM General Ledger Module User Guide VisionVPM General Ledger Module User Guide Version 1.0 VisionVPM user documentation is continually being developed. For the most up-to-date documentation please visit the VisionVPM website at www.visionvpm.com

More information

CitiDirect WorldLink Payment Services

CitiDirect WorldLink Payment Services CitiDirect WorldLink Payment Services User Guide June 2009 3 Contents Overview 2 Additional Resources 2 Basics Guides 2 Online Help 2 CitiDirect Customer Support 2 Sign on to CitiDirect Online Banking

More information

Customer Refunds. Reference Guide For Versions Last Revised: December 29, SedonaOffice

Customer Refunds. Reference Guide For Versions Last Revised: December 29, SedonaOffice Reference Guide For Versions 5.7.24+ Last Revised: December 29, 2015 SedonaOffice 8401 Chagrin Blvd. Suite 15B 45185 Joy Road Chagrin Falls, OH 44023 Canton, MI 48187 440.247.5602 Table of Contents About

More information

Attaché Payroll 2017/18. End of Year Procedures

Attaché Payroll 2017/18. End of Year Procedures Attaché Payroll 2017/18 End of Year Procedures Table of Contents Which Version of Attaché Do I Need to Process End of Year?... 4 Checking that All Operators have Exited Attaché... 5 Blocking Access to

More information

CHAPTER 7: PREPAYMENTS

CHAPTER 7: PREPAYMENTS Chapter 7: Prepayments CHAPTER 7: PREPAYMENTS Objectives The objectives are: Set up prepayments in the General Ledger. Create an order requiring prepayment. Create a prepayment invoice. Review the corrections

More information

BUILDSMART DEBTORS. SmartAct. Authorized Training Manual

BUILDSMART DEBTORS. SmartAct. Authorized Training Manual BUILDSMART DEBTORS SmartAct Authorized Training Manual - 1 - - 2 - SmartAct Authorized Training Manual Notice This document and the Buildsmart software may be used only in accordance with the accompanying

More information

Radian Mortgage Insurance

Radian Mortgage Insurance LOS Interface Administrator/User Guide Radian Mortgage Insurance 2012 PCLender, LLC Contents Introduction... 3 Interface Features... 3 Interface Requirements... 3 Interface Considerations... 4 How Does

More information

Understanding Tax Codes in Simply Accounting

Understanding Tax Codes in Simply Accounting Understanding Tax Codes in Simply Accounting www.prismbusinesstraining.com Understanding the Taxes and Tax Codes The tax code settings in Simply Accounting are found in the Setup menu on Simply s home

More information

Using the Clients & Portfolios Module in Advisor Workstation

Using the Clients & Portfolios Module in Advisor Workstation Using the Clients & Portfolios Module in Advisor Workstation Disclaimer - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 1 Overview - - - - - - - - - - - - - - - - - - - - - -

More information

Arch Rate Quote and Standard MI Order. Loan Fulfillment Center Feature Enhancement

Arch Rate Quote and Standard MI Order. Loan Fulfillment Center Feature Enhancement Arch Rate Quote and Standard MI Order Loan Fulfillment Center Feature Enhancement Confidentiality Copyright 2017 Mortgage Cadence, ALL RIGHTS RESERVED. This documentation and the information, data, software

More information

Order Engineering Workbench: Processing Order BOMs

Order Engineering Workbench: Processing Order BOMs Order Engineering Workbench: Processing Order BOMs CUSTOMER Document Version: 1.0 Order Engineering Workbench: Processing Order BOMs 470 1 Copyright Copyright 2013 SAP AG. All rights reserved. SAP Library

More information