Okay - let me try to explain this:
When I make an EFTPS paymeny the only liability account being taken from is FWH - not MED and SSI. How do I put these into the account information in maintaining a vendor? Do I have to do this manually when I enter the EFTPS payment or can it be defaulted there?? Thanks - Elida Jacobs
EFTPS ACCOUNT INFORMATION AS VENDOR
Moderators: Moderators, Tech Support
Re: EFTPS ACCOUNT INFORMATION AS VENDOR
Unfortunately, with the vendor as setup currently, you can only assign one expense or liability account. What you can do is setup a recurring payment transaction with dummy amounts, then use that when you're doing the quarterly tax payments. Just update the dummy amounts to the correct amounts you're paying.elidajacobs wrote:Okay - let me try to explain this:
When I make an EFTPS paymeny the only liability account being taken from is FWH - not MED and SSI. How do I put these into the account information in maintaining a vendor? Do I have to do this manually when I enter the EFTPS payment or can it be defaulted there?? Thanks - Elida Jacobs
FWIW .. hopefully, in the next major version (12 ??) the Powerchurch gurus can tweak their design to add additional accounts under a vendor
Neil Zampella
Using PC+ since 1999.
Using PC+ since 1999.
Re: EFTPS ACCOUNT INFORMATION AS VENDOR
Neil - can you please show me and example of how that would look in the repeating transaction??? Thank you - Would is be CR the Bank account and CR the liability accounts???? Elida
Re: EFTPS ACCOUNT INFORMATION AS VENDOR
This is setup under Accounts Payable.
Neil Zampella
Using PC+ since 1999.
Using PC+ since 1999.