PENTA Learning Center is an evolving tool. Additional content is added as soon as it is available.

Skip to end of metadata
Go to start of metadata

You are viewing an old version of this page. View the current version.

Compare with Current View Page History

Version 1 Next »

Overview:

The General Journal Entry window allows you to transfer costs from one area in an organizational unit (OU) to another area within the same OU or within a different OU. You can transfer these costs between balance sheet OUs if you set up PENTA to allow automated inter-company transactions. In general, you can only post journal entries to non-sub ledger accounts. Exceptions to the rule are the following tabs of this window, which handle sub ledger activity:

    • Job Cost
    • Asset
    • Account
    • Work Order

Benefits:

  • The ability to transfer costs to and from multiple distribution types between different organizational units
  • This process will automatically create inter-company payables and receivables when journalizing between balance sheet organizational units

Roles:

  • Staff Accountant
  • Accounting Manager
  • CFO

Location:

  • Financial & Accounting > Data Entry > Journal Entries > Journal Entry

Video:



  • No labels