Example 2 - Payable On Due Date, Customer Does Not Pay
In the following example a customer is billed and no payment is received prior to the bill due date. The bill review batch process is responsible for creating the settlement adjustment for any outstanding holding amounts on the bill's due date. The accounting method in this case is Payable On Due Date.
Event |
GL Accounting |
Tax Payable Balance |
Tax Holding Balance |
Bill segment created |
A/R 110 Revenue <100> Tax Holding <10> |
0 |
(10) |
Adjustment created on bill due date |
Tax Holding 10 Tax Payable <10> |
(10) |
0 |