Journal Entries Quick Lesson
To create a Journal Entry, perform the following:
- Open Juris>Transactions>Journal Entries. See Figure 1.0
Figure 1.0
- Open a new Journal Entries batch by using any of the following options:
- Click the New icon.
- Select Form > New from the toolbar.
- Use the keystroke shortcut Ctrl + N.
- Enter Batch Comment (1-50 alphanumeric characters) or accept default Comment.
Note: The Control number is created by the system and may not be changed. There is one control number for each journal item created. Each control number is associated with a set of debits and credits, whose total must be equal to zero.
Example: The control number consists of the following: [accounting year].[accounting period number].[batch number].[item number]
- Accept the date or enter another date for the batch.
- Enter a Source (may be up to 15 alphanumeric characters).
Note: The source is used to describe the area where the
batch was originated from. Batches
created through Juris use the source to define where the entries were
generated (i.e. Edit Prebills). Manual
batches should also be given a source that is descriptive.
The "Reversing Entry" and "Correcting Entry" boxes
may be checked, if desired.
If the "Reversing Entry" option is selected, a Journal Entry
with the Starting Date of the Next Accounting Period will be generated.
This field
will be disabled if the Date of the Journal Entry is outside the Current
Accounting Period.
The "Correcting
Entry" option is used if the Journal Entry corrects some previously
entered entry that was incorrect. This
information is used in Cash Flow Statement reporting, and simply flags
that entry as a correction.
- The first blank Journal Entry will automatically appear when the Journal
Entry batch is created. Enter the Journal Entry as follows:
- Enter an account number or select an account from the lookup by double-clicking in the Account field.
- The Description field will automatically populate with the account description when the account is selected.
- Enter the amount in either the debit or credit column, as appropriate.
- Enter a Document number (may be up to 60 alphanumeric characters)
- Enter the Reference description (may be up to 60 alphanumeric characters)
- Repeat this process for every Debit and Credit needed for the Journal
Item. See Figure 2.0
Figure 2.0
Tip: Each Journal item allows multiple rows, or multiple debits and credits to be entered, but the Debits must equal the Credits. Juris will allow an unfinished item or items to be saved, to be completed at a later date, but Juris will not allow the batch to be posted until the balance of the batch is equal to zero (total Debits = total Credits).
- To add another item to the batch, click the New icon or select Form > New from the menu. This will create blank rows for journal items associated with a new ControlNumber. Repeat steps 4 - 7 to complete the Journal item.
- The transactions will stay in an editable state until posted. Once each the Debits and Credits of each item as well as the Total Debits and Credits must be equal before the batch may be set to a status of Ready to Post. Once marked 'Ready to Post', a user with rights to post must post that batch to finalize the transactions.
Note: The transactions are not finalized until posted.
Note: Journal entries that effect the cash account(s) will cause transactions to be entered into the checkbook. This is to record actions to the cash account and will enable the user to reconcile the balance of the cash account to the balance in bank reconciliation.