automatic posting types and accounts in Microsoft Dynamics 365 Finance and Operations
Suggested accounts with demo data below
Posting type |
Main account |
Name |
Penny difference in reporting currency |
618160 |
Rounding Difference |
Error account |
999999 |
Error Account |
Penny difference in accounting currency |
618160 |
Rounding Difference |
Year-end result |
300160 |
Retained Earnings |
Cash discount |
403300 |
Customer Cash Discounts Taken |
Balance account for consolidation differences |
801200 |
Gain & Loss - Revaluation |
Profit and loss account for consolidation differences |
801200 |
Gain & Loss - Revaluation |
Customer cash discount |
403300 |
Customer Cash Discounts Taken |
Customer invoice discount |
403160 |
Customer Invoice Discounts |
Vendor cash discount |
520200 |
Vendor Cash Discounts Taken |
Vendor invoice discount |
520100 |
Vendor Invoice Discounts |
Order, freight |
600120 |
Freight/Transportation In |
Order fee |
403150 |
Miscellaneous Charges |
Order invoice rounding |
618160 |
Rounding Difference |
Vendor invoice rounding-off |
618160 |
Rounding Difference |
Purchase, fixed receipt price profit |
510400 |
Fixed Receipt Price Inventory Adjustments |
Interunit - debit |
133500 |
Interunit Receivable |
Interunit - credit |
231500 |
Interunit Payable |
*This post is locked for comments