Basiskonten: Unterschied zwischen den Versionen
K (Sprachverknüpfung ergänzt) |
|||
| (22 dazwischenliegende Versionen von 2 Benutzern werden nicht angezeigt) | |||
| Zeile 3: | Zeile 3: | ||
Die meisten Standardkontenbezeichnungen nutzen die folgenden Präfixe: | Die meisten Standardkontenbezeichnungen nutzen die folgenden Präfixe: | ||
| − | {| border="0" | + | {| border="0" |
|- | |- | ||
! Präfix | ! Präfix | ||
| Zeile 29: | Zeile 29: | ||
C_BP_Customer_Acct und C_BP_Vendor_Acct werden von C_BP_Group_Acct abgeleitet (können aber modifiziert werden) | C_BP_Customer_Acct und C_BP_Vendor_Acct werden von C_BP_Group_Acct abgeleitet (können aber modifiziert werden) | ||
| − | + | Die meisten Spaltenbezeichnungen lehnen sich an die Kontobezeichnung im US-Kontenrahmen an. Siehe dazu [https://bitbucket.org/idempiere/idempiere/src/eb89e47d0b37931684c6c348cf98a0a4822ba6f1/org.adempiere.server-feature/data/import/AccountingUS.xls AccountingUS.xls]. | |
| + | Dieser Kontenrahmen wird als Referenz durch die iDempiere-Entwickler gepflegt, alle anderen sind gegebenenfalls dagegen aktuell zu halten. | ||
| − | {| border="1" | + | == Verwendung == |
| + | |||
| + | Zur Zeit (März 2014) gibt es 54 im US-Kontenrahmen als "Default Account" gekennzeichnete Konten. Deren Zuordnung zu Konten in den einzelnen gebräuchlichen Kontenrahmen für DACH soll hier dokumentiert und gegebenenfalls abgestimmt werden. | ||
| + | |||
| + | Weitere Info findet sich in: | ||
| + | * [[Standardkonten]] | ||
| + | |||
| + | |||
| + | |||
| + | {| border="1" class="wikitable sortable" | ||
|- | |- | ||
!width="150"| Fenster, Register | !width="150"| Fenster, Register | ||
| Zeile 43: | Zeile 53: | ||
|- | |- | ||
| − | | | + | |style=white-space:nowrap| [[Buchführungsschema_(Fenster_ID-125)#TAB:_Voreinstellungen|Buchführungsschema -> Voreinstellungen]] || C_ACCTSCHEMA_DEFAULT || B_ASSET_ACCT |
| + | |style=white-space:nowrap| Default Level 1 -> Bank || 1200 Bank || || || | ||
| + | |- | ||
| + | | || C_ACCTSCHEMA_DEFAULT || B_INTERESTEXP_ACCT || Default Level 1 -> Bank | ||
| + | |style=white-space:nowrap|2110 Zinsaufwendungen für kurzfristige Verbindlichkeiten || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || B_INTERESTREV_ACCT || Default Level 1 -> Bank ||2650 Sonstige Zinsen und ähnliche Erträge |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || B_INTRANSIT_ACCT || Default Level 1 -> Bank ||1201 Bank Kontobewegung |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || B_PAYMENTSELECT_ACCT || Default Level 1 -> Bank || 1332 Bezahlung selektiert |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || B_UNALLOCATEDCASH_ACCT || Default Level 1 -> Bank ||1203 Bank nicht zugeordnete Zahlungen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || C_PREPAYMENT_ACCT || Default Level 2 -> BP_Group || 1710 Erhaltene Anzahlungen ( Verbindlichkeiten ) |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || C_RECEIVABLE_ACCT || Default Level 2 -> BP_Group ||1400 Forderungen aus Lieferungen und Leistungen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || C_RECEIVABLE_SERVICES_ACCT || Default Level 2 -> BP_Group ||1410 Forderungen aus Lieferungen und Leistungen ohne Kontokorrent |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || CB_ASSET_ACCT || Default Level 1 -> CashBook ||1000 Kasse |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || CB_CASHTRANSFER_ACCT || Default Level 1 -> CashBook ||1360 Geldtransit |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || CB_DIFFERENCES_ACCT || Default Level 1 -> CashBook ||2673 Kassendifferenzen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || CB_EXPENSE_ACCT || Default Level 1 -> CashBook || 3403 Konto Kasse Aufwand |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || CB_RECEIPT_ACCT || Default Level 1 -> CashBook || 8403 Konto Kasse Ertrag |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || CH_EXPENSE_ACCT || Default Level 1 -> Charge ||4900 Sonstige betriebliche Aufwendungen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || NOTINVOICEDRECEIPTS_ACCT || Default Level 1 -> BP_Group ||3200 Wareneingang |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || P_ASSET_ACCT |
| + | |style=white-space:nowrap| Default Level 2 -> Product_Category || 3970 Bestand Roh- Hilfs- und Betriebsstoffe | ||
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || P_AVERAGECOSTVARIANCE_ACCT || Default Level 2 -> Product_Category ||83400 Average Cost Variance |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || P_COGS_ACCT || Default Level 2 -> Product_Category || 3402 Produkt Vertriebsausgaben |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || P_COSTADJUSTMENT_ACCT || Default Level 2 -> Product_Category ||3800 Bezugsnebenkosten |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || P_EXPENSE_ACCT || Default Level 2 -> Product_Category ||3401 Produkt Ausgaben |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || P_INVENTORYCLEARING_ACCT || Default Level 2 -> Product_Category ||3988 Lager Bestand Zwischenkonto |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || P_INVOICEPRICEVARIANCE_ACCT || Default Level 2 -> Product_Category ||2663 Produkt Rechnung Preisdifferenz |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || | + | | || C_ACCTSCHEMA_DEFAULT || P_LANDEDCOSTCLEARING_ACCT || Default Level 2 -> Product_Category || || || || |
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || P_PURCHASEPRICEVARIANCE_ACCT || Default Level 2 -> Product_Category | + | | || C_ACCTSCHEMA_DEFAULT || P_PURCHASEPRICEVARIANCE_ACCT || Default Level 2 -> Product_Category ||2665 Erträge a. Währungsumstellung auf Euro |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || P_RATEVARIANCE_ACCT || Production (Design Error)<br>Default Level 2 -> Product_Category | + | | || C_ACCTSCHEMA_DEFAULT || P_RATEVARIANCE_ACCT || Production (Design Error)<br>Default Level 2 -> Product_Category ||58600 Rate Variance |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || P_REVENUE_ACCT || Default Level 2 -> Product_Category | + | | || C_ACCTSCHEMA_DEFAULT || P_REVENUE_ACCT || Default Level 2 -> Product_Category ||8400 Erlöse 19% USt |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || P_TRADEDISCOUNTGRANT_ACCT || Default Level 2 -> Product_Category | + | | || C_ACCTSCHEMA_DEFAULT || P_TRADEDISCOUNTGRANT_ACCT || Default Level 2 -> Product_Category || 8770 Gewährte Rabatte |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || P_TRADEDISCOUNTREC_ACCT || Default Level 2 -> Product_Category | + | | || C_ACCTSCHEMA_DEFAULT || P_TRADEDISCOUNTREC_ACCT || Default Level 2 -> Product_Category ||3770 Erhaltene Rabatte |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || PAYDISCOUNT_EXP_ACCT || Default Level 1 -> BP_Group | + | | || C_ACCTSCHEMA_DEFAULT || PAYDISCOUNT_EXP_ACCT || Default Level 1 -> BP_Group || 8735 Gewährte Skonti 16% USt |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || PAYDISCOUNT_REV_ACCT || Default Level 1 -> BP_Group | + | | || C_ACCTSCHEMA_DEFAULT || PAYDISCOUNT_REV_ACCT || Default Level 1 -> BP_Group ||3735 Erhaltene Skonti 16% Vorsteuer |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || PJ_ASSET_ACCT || Default Level 1 -> Project | + | | || C_ACCTSCHEMA_DEFAULT || PJ_ASSET_ACCT || Default Level 1 -> Project || 1451 Forderungen aus Lieferungen und Leistungen ohne Kontokorrent ( bis 1 Jahr ) |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || PJ_WIP_ACCT || Default Level 1 -> Project | + | | || C_ACCTSCHEMA_DEFAULT || PJ_WIP_ACCT || Default Level 1 -> Project ||1452 Projekt Werte in Arbeit |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || REALIZEDGAIN_ACCT || Allocation | + | | || C_ACCTSCHEMA_DEFAULT || REALIZEDGAIN_ACCT || Allocation ||2662 Realisierte Währungsdifferenzen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || REALIZEDLOSS_ACCT || Allocation | + | | || C_ACCTSCHEMA_DEFAULT || REALIZEDLOSS_ACCT || Allocation ||2664 Realisierte Währungsdifferenzen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || T_CREDIT_ACCT || Default Level 1 -> Tax | + | | || C_ACCTSCHEMA_DEFAULT || T_CREDIT_ACCT || Default Level 1 -> Tax ||1570 Abziehbare Vorsteuer |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || T_DUE_ACCT || Default Level 1 -> Tax | + | | || C_ACCTSCHEMA_DEFAULT || T_DUE_ACCT || Default Level 1 -> Tax ||9901 Steuer Verbindlichkeiten |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || T_EXPENSE_ACCT || Default Level 1 -> Tax | + | | || C_ACCTSCHEMA_DEFAULT || T_EXPENSE_ACCT || Default Level 1 -> Tax ||4340 Sonstige Betriebssteuern |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || UNEARNEDREVENUE_ACCT || Default Level 1 -> BP_Group | + | | || C_ACCTSCHEMA_DEFAULT || UNEARNEDREVENUE_ACCT || Default Level 1 -> BP_Group ||8401 Vorausberechnete Einnahmen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || UNREALIZEDGAIN_ACCT || Process Invoice Not Realized Gain/Loss | + | | || C_ACCTSCHEMA_DEFAULT || UNREALIZEDGAIN_ACCT || Process Invoice Not Realized Gain/Loss ||2661 Nicht realisierbare Währungsdifferenzen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || UNREALIZEDLOSS_ACCT || Process Invoice Not Realized Gain/Loss | + | | || C_ACCTSCHEMA_DEFAULT || UNREALIZEDLOSS_ACCT || Process Invoice Not Realized Gain/Loss || 2669 Nicht realisierbare Währungsdifferenzen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || V_LIABILITY_ACCT || Default Level 2 -> BP_Group | + | | || C_ACCTSCHEMA_DEFAULT || V_LIABILITY_ACCT || Default Level 2 -> BP_Group ||1600 Verbindlichkeiten aus Lieferungen und Leistungen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || V_LIABILITY_SERVICES_ACCT || Default Level 2 -> BP_Group | + | | || C_ACCTSCHEMA_DEFAULT || V_LIABILITY_SERVICES_ACCT || Default Level 2 -> BP_Group ||1601 Verbindlichkeiten aus Lieferungen und Leistungen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || V_PREPAYMENT_ACCT || Default Level 2 -> BP_Group | + | | || C_ACCTSCHEMA_DEFAULT || V_PREPAYMENT_ACCT || Default Level 2 -> BP_Group ||1510 Geleistete Anzahlungen auf Vorräte |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || W_DIFFERENCES_ACCT || Default Level 1 -> Warehouse | + | | || C_ACCTSCHEMA_DEFAULT || W_DIFFERENCES_ACCT || Default Level 1 -> Warehouse ||3986 Lager Differenzkorrektur Gewinn / Verlust |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || WRITEOFF_ACCT || Default Level 1 -> BP_Group | + | | || C_ACCTSCHEMA_DEFAULT || WRITEOFF_ACCT || Default Level 1 -> BP_Group || 2400 Forderungsverluste (übliche Höhe) |
| + | || || || | ||
|- | |- | ||
| − | | | + | | [[Buchführungsschema_(Fenster_ID-125)#TAB:_Hauptbuch|Buchführungsschema -> Hauptbuch]] || C_ACCTSCHEMA_GL || COMMITMENTOFFSET_ACCT || MatchInv<br> |
Order (PO)<br> | Order (PO)<br> | ||
Requisition | Requisition | ||
| + | || 970 Sonstige Rückstellungen | ||
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_GL || COMMITMENTOFFSETSALES_ACCT || Order (SO) | + | | || C_ACCTSCHEMA_GL || COMMITMENTOFFSETSALES_ACCT || Order (SO) || 970 Sonstige Rückstellungen|| || || |
|- | |- | ||
| − | | || C_ACCTSCHEMA_GL || CURRENCYBALANCING_ACCT || General Fact | + | | || C_ACCTSCHEMA_GL || CURRENCYBALANCING_ACCT || General Fact || 2668 Währungsdifferenz zum Kontenausgleich |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_GL || INTERCOMPANYDUEFROM_ACCT || General Fact | + | | || C_ACCTSCHEMA_GL || INTERCOMPANYDUEFROM_ACCT || General Fact ||1594 Forderungen gegen verbundene Unternehmen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_GL || INTERCOMPANYDUETO_ACCT || General Fact | + | | || C_ACCTSCHEMA_GL || INTERCOMPANYDUETO_ACCT || General Fact || 700 Verbindlichkeiten gegenüber verbundenen Unternehmen |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_GL || PPVOFFSET_ACCT || MatchPO | + | | || C_ACCTSCHEMA_GL || PPVOFFSET_ACCT || MatchPO ||2666 Erträge aus Bewertung Finanzmittelfonds |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_GL || SUSPENSEBALANCING_ACCT || General Fact | + | | || C_ACCTSCHEMA_GL || SUSPENSEBALANCING_ACCT || General Fact ||2672 Rundungsdifferenzen |
| + | || || || | ||
|- | |- | ||
| − | | | + | | [[Geschäftspartnergruppe_(Fenster_ID-192)#TAB:_Buchführung|Geschäftspartnergruppe -> Buchführung]] || C_BP_GROUP_ACCT || C_PREPAYMENT_ACCT || Default Level 1 -> BP_Customer ||1710 Erhaltene Anzahlungen ( Verbindlichkeiten ) |
| + | || || || | ||
|- | |- | ||
| − | | || C_BP_GROUP_ACCT || C_RECEIVABLE_ACCT || Default Level 1 -> BP_Customer | + | | || C_BP_GROUP_ACCT || C_RECEIVABLE_ACCT || Default Level 1 -> BP_Customer || 1400 Forderungen aus Lieferungen und Leistungen |
| + | || || || | ||
|- | |- | ||
| − | | || C_BP_GROUP_ACCT || C_RECEIVABLE_SERVICES_ACCT || Default Level 1 -> BP_Customer | + | | || C_BP_GROUP_ACCT || C_RECEIVABLE_SERVICES_ACCT || Default Level 1 -> BP_Customer ||1410 Forderungen aus Lieferungen und Leistungen ohne Kontokorrent |
| + | || || || | ||
|- | |- | ||
| || C_BP_GROUP_ACCT || NOTINVOICEDRECEIPTS_ACCT || InOut<br> | | || C_BP_GROUP_ACCT || NOTINVOICEDRECEIPTS_ACCT || InOut<br> | ||
MatchInv | MatchInv | ||
| + | ||3200 Wareneingang | ||
| + | || || || | ||
|- | |- | ||
| − | | || C_BP_GROUP_ACCT || PAYDISCOUNT_EXP_ACCT || Allocation | + | | || C_BP_GROUP_ACCT || PAYDISCOUNT_EXP_ACCT || Allocation || 8735 Gewährte Skonti 16% USt |
| + | || || || | ||
|- | |- | ||
| − | | || C_BP_GROUP_ACCT || PAYDISCOUNT_REV_ACCT || Allocation | + | | || C_BP_GROUP_ACCT || PAYDISCOUNT_REV_ACCT || Allocation ||3735 Erhaltene Skonti 16% Vorsteuer |
| + | || || || | ||
|- | |- | ||
| − | | || C_BP_GROUP_ACCT || UNEARNEDREVENUE_ACCT || Invoice (SO) | + | | || C_BP_GROUP_ACCT || UNEARNEDREVENUE_ACCT || Invoice (SO) || 8401 Vorausberechnete Einnahmen |
| + | || || || | ||
|- | |- | ||
| − | | || C_BP_GROUP_ACCT || V_LIABILITY_ACCT || Default Level 1 -> BP_Vendor | + | | || C_BP_GROUP_ACCT || V_LIABILITY_ACCT || Default Level 1 -> BP_Vendor || 1600 Verbindlichkeiten aus Lieferungen und Leistungen |
| + | || || || | ||
|- | |- | ||
| − | | || C_BP_GROUP_ACCT || V_LIABILITY_SERVICES_ACCT || Default Level 1 -> BP_Vendor | + | | || C_BP_GROUP_ACCT || V_LIABILITY_SERVICES_ACCT || Default Level 1 -> BP_Vendor ||1601 Verbindlichkeiten aus Lieferungen und Leistungen |
| + | || || || | ||
|- | |- | ||
| − | | || C_BP_GROUP_ACCT || V_PREPAYMENT_ACCT || Default Level 1 -> BP_Vendor | + | | || C_BP_GROUP_ACCT || V_PREPAYMENT_ACCT || Default Level 1 -> BP_Vendor ||1510 Geleistete Anzahlungen auf Vorräte |
| + | || || || | ||
|- | |- | ||
| − | | || C_BP_GROUP_ACCT || WRITEOFF_ACCT || Allocation | + | | || C_BP_GROUP_ACCT || WRITEOFF_ACCT || Allocation ||2400 Forderungsverluste (übliche Höhe) |
| + | || || || | ||
|- | |- | ||
| − | | | + | | [[Geschäftspartner_(Fenster_ID-123)#TAB:_Buchführung_Kunden|Geschäftspartner -> Kunde -> Buchführung Kunden]] || C_BP_CUSTOMER_ACCT || C_PREPAYMENT_ACCT || Allocation<br> |
Payment | Payment | ||
| + | ||1710 Erhaltene Anzahlungen ( Verbindlichkeiten ) | ||
| + | || || || | ||
|- | |- | ||
| || C_BP_CUSTOMER_ACCT || C_RECEIVABLE_ACCT || Allocation<br> | | || C_BP_CUSTOMER_ACCT || C_RECEIVABLE_ACCT || Allocation<br> | ||
Invoice (SO) | Invoice (SO) | ||
| + | ||1400 Forderungen aus Lieferungen und Leistungen | ||
| + | || || || | ||
|- | |- | ||
| − | | || C_BP_CUSTOMER_ACCT || C_RECEIVABLE_SERVICES_ACCT || Invoice (SO) (Error unbalancing on Allocation) | + | | || C_BP_CUSTOMER_ACCT || C_RECEIVABLE_SERVICES_ACCT || Invoice (SO) (Error unbalancing on Allocation) || 1410 Forderungen aus Lieferungen und Leistungen ohne Kontokorrent |
| + | || || || | ||
|- | |- | ||
| − | | | + | | [[Geschäftspartner_(Fenster_ID-123)#TAB:_Buchführung_Lieferanten|Geschäftspartner -> Lieferant -> Buchführung Lieferanten]] || C_BP_VENDOR_ACCT || V_LIABILITY_ACCT || Allocation<br> |
Invoice (PO) | Invoice (PO) | ||
| + | ||1600 Verbindlichkeiten aus Lieferungen und Leistungen | ||
| + | || || || | ||
|- | |- | ||
| − | | || C_BP_VENDOR_ACCT || V_LIABILITY_SERVICES_ACCT || Invoice (PO) (Error unbalancing on Allocation) | + | | || C_BP_VENDOR_ACCT || V_LIABILITY_SERVICES_ACCT || Invoice (PO) (Error unbalancing on Allocation) || 1601 Verbindlichkeiten aus Lieferungen und Leistungen |
| + | || || || | ||
|- | |- | ||
| || C_BP_VENDOR_ACCT || V_PREPAYMENT_ACCT || Allocation<br> | | || C_BP_VENDOR_ACCT || V_PREPAYMENT_ACCT || Allocation<br> | ||
Payment | Payment | ||
| + | || 1510 Geleistete Anzahlungen auf Vorräte | ||
| + | || || || | ||
|- | |- | ||
| − | | Product Category -> Accounting || M_PRODUCT_CATEGORY_ACCT || P_ASSET_ACCT || Default Level 1 -> Product | + | | Product Category -> Accounting || M_PRODUCT_CATEGORY_ACCT || P_ASSET_ACCT || Default Level 1 -> Product ||3970 Bestand Roh- Hilfs- und Betriebsstoffe |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_CATEGORY_ACCT || P_AVERAGECOSTVARIANCE_ACCT || Default Level 1 -> Product | + | | || M_PRODUCT_CATEGORY_ACCT || P_AVERAGECOSTVARIANCE_ACCT || Default Level 1 -> Product ||83400 Average Cost Variance |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_CATEGORY_ACCT || P_COGS_ACCT || Default Level 1 -> Product | + | | || M_PRODUCT_CATEGORY_ACCT || P_COGS_ACCT || Default Level 1 -> Product ||3402 Produkt Vertriebsausgaben |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_CATEGORY_ACCT || P_COSTADJUSTMENT_ACCT || Default Level 1 -> Product | + | | || M_PRODUCT_CATEGORY_ACCT || P_COSTADJUSTMENT_ACCT || Default Level 1 -> Product ||3800 Bezugsnebenkosten |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_CATEGORY_ACCT || P_EXPENSE_ACCT || Default Level 1 -> Product | + | | || M_PRODUCT_CATEGORY_ACCT || P_EXPENSE_ACCT || Default Level 1 -> Product ||3401 Produkt Ausgaben |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_CATEGORY_ACCT || P_INVENTORYCLEARING_ACCT || Default Level 1 -> Product | + | | || M_PRODUCT_CATEGORY_ACCT || P_INVENTORYCLEARING_ACCT || Default Level 1 -> Product || 3988 Lager Bestand Zwischenkonto |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_CATEGORY_ACCT || P_INVOICEPRICEVARIANCE_ACCT || Default Level 1 -> Product | + | | || M_PRODUCT_CATEGORY_ACCT || P_INVOICEPRICEVARIANCE_ACCT || Default Level 1 -> Product ||2663 Produkt Rechnung Preisdifferenz |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_CATEGORY_ACCT || P_PURCHASEPRICEVARIANCE_ACCT || Default Level 1 -> Product | + | | || M_PRODUCT_CATEGORY_ACCT || P_PURCHASEPRICEVARIANCE_ACCT || Default Level 1 -> Product ||2665 Erträge a. Währungsumstellung auf Euro |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_CATEGORY_ACCT || P_RATEVARIANCE_ACCT || Default Level 1 -> Product | + | | || M_PRODUCT_CATEGORY_ACCT || P_RATEVARIANCE_ACCT || Default Level 1 -> Product ||58600 Rate Variance |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_CATEGORY_ACCT || P_REVENUE_ACCT || Default Level 1 -> Product | + | | || M_PRODUCT_CATEGORY_ACCT || P_REVENUE_ACCT || Default Level 1 -> Product || 8400 Erlöse 19% USt |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_CATEGORY_ACCT || P_TRADEDISCOUNTGRANT_ACCT || Default Level 1 -> Product | + | | || M_PRODUCT_CATEGORY_ACCT || P_TRADEDISCOUNTGRANT_ACCT || Default Level 1 -> Product ||8770 Gewährte Rabatte |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_CATEGORY_ACCT || P_TRADEDISCOUNTREC_ACCT || Default Level 1 -> Product | + | | || M_PRODUCT_CATEGORY_ACCT || P_TRADEDISCOUNTREC_ACCT || Default Level 1 -> Product ||3770 Erhaltene Rabatte |
| + | || || || | ||
|- | |- | ||
| Product -> Accounting || M_PRODUCT_ACCT || P_ASSET_ACCT || InOut<br> | | Product -> Accounting || M_PRODUCT_ACCT || P_ASSET_ACCT || InOut<br> | ||
| Zeile 217: | Zeile 316: | ||
Production<br> | Production<br> | ||
ProjectIssue | ProjectIssue | ||
| + | ||3970 Bestand Roh- Hilfs- und Betriebsstoffe | ||
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_ACCT || P_AVERAGECOSTVARIANCE_ACCT || Not Used | + | | || M_PRODUCT_ACCT || P_AVERAGECOSTVARIANCE_ACCT || Not Used || 83400 Average Cost Variance |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_ACCT || P_COGS_ACCT || InOut | + | | || M_PRODUCT_ACCT || P_COGS_ACCT || InOut ||3402 Produkt Vertriebsausgaben |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_ACCT || P_COSTADJUSTMENT_ACCT || Invoice | + | | || M_PRODUCT_ACCT || P_COSTADJUSTMENT_ACCT || Invoice ||3800 Bezugsnebenkosten |
| + | || || || | ||
|- | |- | ||
| || M_PRODUCT_ACCT || P_EXPENSE_ACCT || InOut<br> | | || M_PRODUCT_ACCT || P_EXPENSE_ACCT || InOut<br> | ||
| Zeile 230: | Zeile 334: | ||
ProjectIssue<br> | ProjectIssue<br> | ||
Requisition | Requisition | ||
| + | || 3401 Produkt Ausgaben | ||
| + | || || || | ||
|- | |- | ||
| || M_PRODUCT_ACCT || P_INVENTORYCLEARING_ACCT || Invoice (PO)<br> | | || M_PRODUCT_ACCT || P_INVENTORYCLEARING_ACCT || Invoice (PO)<br> | ||
MatchInv | MatchInv | ||
| + | || 3988 Lager Bestand Zwischenkonto | ||
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_ACCT || P_INVOICEPRICEVARIANCE_ACCT || MatchInv | + | | || M_PRODUCT_ACCT || P_INVOICEPRICEVARIANCE_ACCT || MatchInv ||2663 Produkt Rechnung Preisdifferenz |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_ACCT || P_PURCHASEPRICEVARIANCE_ACCT || MatchPO | + | | || M_PRODUCT_ACCT || P_PURCHASEPRICEVARIANCE_ACCT || MatchPO ||2665 Erträge a. Währungsumstellung auf Euro |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_ACCT || P_RATEVARIANCE_ACCT || Not Used (Design Error) | + | | || M_PRODUCT_ACCT || P_RATEVARIANCE_ACCT || Not Used (Design Error) ||58600 Rate Variance |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_ACCT || P_REVENUE_ACCT || Invoice (SO) | + | | || M_PRODUCT_ACCT || P_REVENUE_ACCT || Invoice (SO) ||8400 Erlöse 19% USt |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_ACCT || P_TRADEDISCOUNTGRANT_ACCT || Invoice (SO) | + | | || M_PRODUCT_ACCT || P_TRADEDISCOUNTGRANT_ACCT || Invoice (SO) ||8770 Gewährte Rabatte |
| + | || || || | ||
|- | |- | ||
| − | | || M_PRODUCT_ACCT || P_TRADEDISCOUNTREC_ACCT || Invoice (PO) | + | | || M_PRODUCT_ACCT || P_TRADEDISCOUNTREC_ACCT || Invoice (PO) ||3770 Erhaltene Rabatte |
| + | || || || | ||
|- | |- | ||
| − | | Bank -> Account -> Accounting || C_BANKACCOUNT_ACCT || B_ASSET_ACCT || Bank | + | | Bank -> Account -> Accounting || C_BANKACCOUNT_ACCT || B_ASSET_ACCT || Bank || 1200 Bank|| || || |
|- | |- | ||
| − | | || C_BANKACCOUNT_ACCT || B_INTERESTEXP_ACCT || Bank | + | | || C_BANKACCOUNT_ACCT || B_INTERESTEXP_ACCT || Bank ||2110 Zinsaufwendungen für kurzfristige Verbindlichkeiten |
| + | || || || | ||
|- | |- | ||
| − | | || C_BANKACCOUNT_ACCT || B_INTERESTREV_ACCT || Bank | + | | || C_BANKACCOUNT_ACCT || B_INTERESTREV_ACCT || Bank ||2650 Sonstige Zinsen und ähnliche Erträge |
| + | || || || | ||
|- | |- | ||
| || C_BANKACCOUNT_ACCT || B_INTRANSIT_ACCT || Bank<br> | | || C_BANKACCOUNT_ACCT || B_INTRANSIT_ACCT || Bank<br> | ||
Cash<br> | Cash<br> | ||
Payment | Payment | ||
| + | || 1201 Bank Kontobewegung | ||
| + | || || || | ||
|- | |- | ||
| || C_BANKACCOUNT_ACCT || B_PAYMENTSELECT_ACCT || Allocation<br> | | || C_BANKACCOUNT_ACCT || B_PAYMENTSELECT_ACCT || Allocation<br> | ||
Payment (PO) | Payment (PO) | ||
| + | ||1332 Bezahlung selektiert | ||
| + | || || || | ||
|- | |- | ||
| || C_BANKACCOUNT_ACCT || B_UNALLOCATEDCASH_ACCT || Allocation<br> | | || C_BANKACCOUNT_ACCT || B_UNALLOCATEDCASH_ACCT || Allocation<br> | ||
Payment (SO) | Payment (SO) | ||
| + | || 1203 Bank nicht zugeordnete Zahlungen | ||
| + | || || || | ||
|- | |- | ||
| Charge -> Accounting || C_CHARGE_ACCT || CH_EXPENSE_ACCT || Bank<br> | | Charge -> Accounting || C_CHARGE_ACCT || CH_EXPENSE_ACCT || Bank<br> | ||
| Zeile 267: | Zeile 389: | ||
Invoice<br> | Invoice<br> | ||
Payment | Payment | ||
| + | || 4900 Sonstige betriebliche Aufwendungen | ||
| + | || || || | ||
|- | |- | ||
| − | | Project -> Accounting || C_PROJECT_ACCT || PJ_ASSET_ACCT || ProjectIssue | + | | Project -> Accounting || C_PROJECT_ACCT || PJ_ASSET_ACCT || ProjectIssue |
| + | |style=white-space:nowrap|1451 Forderungen aus Lieferungen und Leistungen ohne Kontokorrent ( bis 1 Jahr ) | ||
| + | || || || | ||
|- | |- | ||
| − | | || C_PROJECT_ACCT || PJ_WIP_ACCT || ProjectIssue | + | | || C_PROJECT_ACCT || PJ_WIP_ACCT || ProjectIssue || 1452 Projekt Werte in Arbeit |
| + | || || || | ||
|- | |- | ||
| − | | Revenue Recognition -> Revenue Recognition Plan || C_REVENUERECOGNITION_PLAN || P_REVENUE_ACCT || Created | + | | Revenue Recognition -> Revenue Recognition Plan || C_REVENUERECOGNITION_PLAN || P_REVENUE_ACCT || Created ||8400 Erlöse 19% USt |
| + | || || || | ||
|- | |- | ||
| − | | || C_REVENUERECOGNITION_PLAN || UNEARNEDREVENUE_ACCT || Created | + | | || C_REVENUERECOGNITION_PLAN || UNEARNEDREVENUE_ACCT || Created || 8401 Vorausberechnete Einnahmen |
| + | || || || | ||
|- | |- | ||
| − | | Tax Rate -> Accounting || C_TAX_ACCT || T_CREDIT_ACCT || Invoice (PO) | + | | Tax Rate -> Accounting || C_TAX_ACCT || T_CREDIT_ACCT || Invoice (PO) ||1570 Abziehbare Vorsteuer |
| + | || || || | ||
|- | |- | ||
| − | | || C_TAX_ACCT || T_DUE_ACCT || Invoice (SO) | + | | || C_TAX_ACCT || T_DUE_ACCT || Invoice (SO) || 9901 Steuer Verbindlichkeiten |
| + | || || || | ||
|- | |- | ||
| − | | || C_TAX_ACCT || T_EXPENSE_ACCT || Invoice (PO) | + | | || C_TAX_ACCT || T_EXPENSE_ACCT || Invoice (PO) ||4340 Sonstige Betriebssteuern |
| + | || || || | ||
|- | |- | ||
| − | | Warehouse & Locators -> Accounting || M_WAREHOUSE_ACCT || W_DIFFERENCES_ACCT || Inventory | + | | Warehouse & Locators -> Accounting || M_WAREHOUSE_ACCT || W_DIFFERENCES_ACCT || Inventory || 3986 Lager Differenzkorrektur Gewinn / Verlust |
| + | || || || | ||
|} | |} | ||
| − | == | + | == Siehe auch == |
| − | * | + | * http://wiki.idempiere.org/en/iDempiere_Accounting |
| − | * [[ | + | * [[Buchführungsschema_(Fenster_ID-125)|Buchführungsschema]] |
| − | + | ||
| + | [[Category:Buchführung]] | ||
| − | [[ | + | [[en:Default Accounts Usage]] |
| + | [[de:Basiskonten]] | ||
Aktuelle Version vom 20. September 2015, 18:37 Uhr
Präfixe in den Bezeichnungen
Die meisten Standardkontenbezeichnungen nutzen die folgenden Präfixe:
| Präfix | Tabelle |
|---|---|
| B | C_BankAccount_Acct |
| C | C_BP_Customer_Acct |
| V | C_BP_Vendor_Acct |
| CH | C_Charge_Acct |
| PJ | C_Project_Acct |
| T | C_Tax_Acct |
| P | M_Product_Acct |
| W | M_Warehouse_Acct |
M_Product_Acct-Konten werden von M_Product_Category_Acct abgeleitet (können aber modifiziert werden)
C_BP_Customer_Acct und C_BP_Vendor_Acct werden von C_BP_Group_Acct abgeleitet (können aber modifiziert werden)
Die meisten Spaltenbezeichnungen lehnen sich an die Kontobezeichnung im US-Kontenrahmen an. Siehe dazu AccountingUS.xls. Dieser Kontenrahmen wird als Referenz durch die iDempiere-Entwickler gepflegt, alle anderen sind gegebenenfalls dagegen aktuell zu halten.
Verwendung
Zur Zeit (März 2014) gibt es 54 im US-Kontenrahmen als "Default Account" gekennzeichnete Konten. Deren Zuordnung zu Konten in den einzelnen gebräuchlichen Kontenrahmen für DACH soll hier dokumentiert und gegebenenfalls abgestimmt werden.
Weitere Info findet sich in:
| Fenster, Register | Tabelle | Spalte | Verwendet in | DE SKR03 | DE SKR04 | AT | CH |
|---|---|---|---|---|---|---|---|
| Buchführungsschema -> Voreinstellungen | C_ACCTSCHEMA_DEFAULT | B_ASSET_ACCT | Default Level 1 -> Bank | 1200 Bank | |||
| C_ACCTSCHEMA_DEFAULT | B_INTERESTEXP_ACCT | Default Level 1 -> Bank | 2110 Zinsaufwendungen für kurzfristige Verbindlichkeiten | ||||
| C_ACCTSCHEMA_DEFAULT | B_INTERESTREV_ACCT | Default Level 1 -> Bank | 2650 Sonstige Zinsen und ähnliche Erträge | ||||
| C_ACCTSCHEMA_DEFAULT | B_INTRANSIT_ACCT | Default Level 1 -> Bank | 1201 Bank Kontobewegung | ||||
| C_ACCTSCHEMA_DEFAULT | B_PAYMENTSELECT_ACCT | Default Level 1 -> Bank | 1332 Bezahlung selektiert | ||||
| C_ACCTSCHEMA_DEFAULT | B_UNALLOCATEDCASH_ACCT | Default Level 1 -> Bank | 1203 Bank nicht zugeordnete Zahlungen | ||||
| C_ACCTSCHEMA_DEFAULT | C_PREPAYMENT_ACCT | Default Level 2 -> BP_Group | 1710 Erhaltene Anzahlungen ( Verbindlichkeiten ) | ||||
| C_ACCTSCHEMA_DEFAULT | C_RECEIVABLE_ACCT | Default Level 2 -> BP_Group | 1400 Forderungen aus Lieferungen und Leistungen | ||||
| C_ACCTSCHEMA_DEFAULT | C_RECEIVABLE_SERVICES_ACCT | Default Level 2 -> BP_Group | 1410 Forderungen aus Lieferungen und Leistungen ohne Kontokorrent | ||||
| C_ACCTSCHEMA_DEFAULT | CB_ASSET_ACCT | Default Level 1 -> CashBook | 1000 Kasse | ||||
| C_ACCTSCHEMA_DEFAULT | CB_CASHTRANSFER_ACCT | Default Level 1 -> CashBook | 1360 Geldtransit | ||||
| C_ACCTSCHEMA_DEFAULT | CB_DIFFERENCES_ACCT | Default Level 1 -> CashBook | 2673 Kassendifferenzen | ||||
| C_ACCTSCHEMA_DEFAULT | CB_EXPENSE_ACCT | Default Level 1 -> CashBook | 3403 Konto Kasse Aufwand | ||||
| C_ACCTSCHEMA_DEFAULT | CB_RECEIPT_ACCT | Default Level 1 -> CashBook | 8403 Konto Kasse Ertrag | ||||
| C_ACCTSCHEMA_DEFAULT | CH_EXPENSE_ACCT | Default Level 1 -> Charge | 4900 Sonstige betriebliche Aufwendungen | ||||
| C_ACCTSCHEMA_DEFAULT | NOTINVOICEDRECEIPTS_ACCT | Default Level 1 -> BP_Group | 3200 Wareneingang | ||||
| C_ACCTSCHEMA_DEFAULT | P_ASSET_ACCT | Default Level 2 -> Product_Category | 3970 Bestand Roh- Hilfs- und Betriebsstoffe | ||||
| C_ACCTSCHEMA_DEFAULT | P_AVERAGECOSTVARIANCE_ACCT | Default Level 2 -> Product_Category | 83400 Average Cost Variance | ||||
| C_ACCTSCHEMA_DEFAULT | P_COGS_ACCT | Default Level 2 -> Product_Category | 3402 Produkt Vertriebsausgaben | ||||
| C_ACCTSCHEMA_DEFAULT | P_COSTADJUSTMENT_ACCT | Default Level 2 -> Product_Category | 3800 Bezugsnebenkosten | ||||
| C_ACCTSCHEMA_DEFAULT | P_EXPENSE_ACCT | Default Level 2 -> Product_Category | 3401 Produkt Ausgaben | ||||
| C_ACCTSCHEMA_DEFAULT | P_INVENTORYCLEARING_ACCT | Default Level 2 -> Product_Category | 3988 Lager Bestand Zwischenkonto | ||||
| C_ACCTSCHEMA_DEFAULT | P_INVOICEPRICEVARIANCE_ACCT | Default Level 2 -> Product_Category | 2663 Produkt Rechnung Preisdifferenz | ||||
| C_ACCTSCHEMA_DEFAULT | P_LANDEDCOSTCLEARING_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | P_PURCHASEPRICEVARIANCE_ACCT | Default Level 2 -> Product_Category | 2665 Erträge a. Währungsumstellung auf Euro | ||||
| C_ACCTSCHEMA_DEFAULT | P_RATEVARIANCE_ACCT | Production (Design Error) Default Level 2 -> Product_Category |
58600 Rate Variance | ||||
| C_ACCTSCHEMA_DEFAULT | P_REVENUE_ACCT | Default Level 2 -> Product_Category | 8400 Erlöse 19% USt | ||||
| C_ACCTSCHEMA_DEFAULT | P_TRADEDISCOUNTGRANT_ACCT | Default Level 2 -> Product_Category | 8770 Gewährte Rabatte | ||||
| C_ACCTSCHEMA_DEFAULT | P_TRADEDISCOUNTREC_ACCT | Default Level 2 -> Product_Category | 3770 Erhaltene Rabatte | ||||
| C_ACCTSCHEMA_DEFAULT | PAYDISCOUNT_EXP_ACCT | Default Level 1 -> BP_Group | 8735 Gewährte Skonti 16% USt | ||||
| C_ACCTSCHEMA_DEFAULT | PAYDISCOUNT_REV_ACCT | Default Level 1 -> BP_Group | 3735 Erhaltene Skonti 16% Vorsteuer | ||||
| C_ACCTSCHEMA_DEFAULT | PJ_ASSET_ACCT | Default Level 1 -> Project | 1451 Forderungen aus Lieferungen und Leistungen ohne Kontokorrent ( bis 1 Jahr ) | ||||
| C_ACCTSCHEMA_DEFAULT | PJ_WIP_ACCT | Default Level 1 -> Project | 1452 Projekt Werte in Arbeit | ||||
| C_ACCTSCHEMA_DEFAULT | REALIZEDGAIN_ACCT | Allocation | 2662 Realisierte Währungsdifferenzen | ||||
| C_ACCTSCHEMA_DEFAULT | REALIZEDLOSS_ACCT | Allocation | 2664 Realisierte Währungsdifferenzen | ||||
| C_ACCTSCHEMA_DEFAULT | T_CREDIT_ACCT | Default Level 1 -> Tax | 1570 Abziehbare Vorsteuer | ||||
| C_ACCTSCHEMA_DEFAULT | T_DUE_ACCT | Default Level 1 -> Tax | 9901 Steuer Verbindlichkeiten | ||||
| C_ACCTSCHEMA_DEFAULT | T_EXPENSE_ACCT | Default Level 1 -> Tax | 4340 Sonstige Betriebssteuern | ||||
| C_ACCTSCHEMA_DEFAULT | UNEARNEDREVENUE_ACCT | Default Level 1 -> BP_Group | 8401 Vorausberechnete Einnahmen | ||||
| C_ACCTSCHEMA_DEFAULT | UNREALIZEDGAIN_ACCT | Process Invoice Not Realized Gain/Loss | 2661 Nicht realisierbare Währungsdifferenzen | ||||
| C_ACCTSCHEMA_DEFAULT | UNREALIZEDLOSS_ACCT | Process Invoice Not Realized Gain/Loss | 2669 Nicht realisierbare Währungsdifferenzen | ||||
| C_ACCTSCHEMA_DEFAULT | V_LIABILITY_ACCT | Default Level 2 -> BP_Group | 1600 Verbindlichkeiten aus Lieferungen und Leistungen | ||||
| C_ACCTSCHEMA_DEFAULT | V_LIABILITY_SERVICES_ACCT | Default Level 2 -> BP_Group | 1601 Verbindlichkeiten aus Lieferungen und Leistungen | ||||
| C_ACCTSCHEMA_DEFAULT | V_PREPAYMENT_ACCT | Default Level 2 -> BP_Group | 1510 Geleistete Anzahlungen auf Vorräte | ||||
| C_ACCTSCHEMA_DEFAULT | W_DIFFERENCES_ACCT | Default Level 1 -> Warehouse | 3986 Lager Differenzkorrektur Gewinn / Verlust | ||||
| C_ACCTSCHEMA_DEFAULT | WRITEOFF_ACCT | Default Level 1 -> BP_Group | 2400 Forderungsverluste (übliche Höhe) | ||||
| Buchführungsschema -> Hauptbuch | C_ACCTSCHEMA_GL | COMMITMENTOFFSET_ACCT | MatchInv Order (PO) |
970 Sonstige Rückstellungen | |||
| C_ACCTSCHEMA_GL | COMMITMENTOFFSETSALES_ACCT | Order (SO) | 970 Sonstige Rückstellungen | ||||
| C_ACCTSCHEMA_GL | CURRENCYBALANCING_ACCT | General Fact | 2668 Währungsdifferenz zum Kontenausgleich | ||||
| C_ACCTSCHEMA_GL | INTERCOMPANYDUEFROM_ACCT | General Fact | 1594 Forderungen gegen verbundene Unternehmen | ||||
| C_ACCTSCHEMA_GL | INTERCOMPANYDUETO_ACCT | General Fact | 700 Verbindlichkeiten gegenüber verbundenen Unternehmen | ||||
| C_ACCTSCHEMA_GL | PPVOFFSET_ACCT | MatchPO | 2666 Erträge aus Bewertung Finanzmittelfonds | ||||
| C_ACCTSCHEMA_GL | SUSPENSEBALANCING_ACCT | General Fact | 2672 Rundungsdifferenzen | ||||
| Geschäftspartnergruppe -> Buchführung | C_BP_GROUP_ACCT | C_PREPAYMENT_ACCT | Default Level 1 -> BP_Customer | 1710 Erhaltene Anzahlungen ( Verbindlichkeiten ) | |||
| C_BP_GROUP_ACCT | C_RECEIVABLE_ACCT | Default Level 1 -> BP_Customer | 1400 Forderungen aus Lieferungen und Leistungen | ||||
| C_BP_GROUP_ACCT | C_RECEIVABLE_SERVICES_ACCT | Default Level 1 -> BP_Customer | 1410 Forderungen aus Lieferungen und Leistungen ohne Kontokorrent | ||||
| C_BP_GROUP_ACCT | NOTINVOICEDRECEIPTS_ACCT | InOut MatchInv |
3200 Wareneingang | ||||
| C_BP_GROUP_ACCT | PAYDISCOUNT_EXP_ACCT | Allocation | 8735 Gewährte Skonti 16% USt | ||||
| C_BP_GROUP_ACCT | PAYDISCOUNT_REV_ACCT | Allocation | 3735 Erhaltene Skonti 16% Vorsteuer | ||||
| C_BP_GROUP_ACCT | UNEARNEDREVENUE_ACCT | Invoice (SO) | 8401 Vorausberechnete Einnahmen | ||||
| C_BP_GROUP_ACCT | V_LIABILITY_ACCT | Default Level 1 -> BP_Vendor | 1600 Verbindlichkeiten aus Lieferungen und Leistungen | ||||
| C_BP_GROUP_ACCT | V_LIABILITY_SERVICES_ACCT | Default Level 1 -> BP_Vendor | 1601 Verbindlichkeiten aus Lieferungen und Leistungen | ||||
| C_BP_GROUP_ACCT | V_PREPAYMENT_ACCT | Default Level 1 -> BP_Vendor | 1510 Geleistete Anzahlungen auf Vorräte | ||||
| C_BP_GROUP_ACCT | WRITEOFF_ACCT | Allocation | 2400 Forderungsverluste (übliche Höhe) | ||||
| Geschäftspartner -> Kunde -> Buchführung Kunden | C_BP_CUSTOMER_ACCT | C_PREPAYMENT_ACCT | Allocation Payment |
1710 Erhaltene Anzahlungen ( Verbindlichkeiten ) | |||
| C_BP_CUSTOMER_ACCT | C_RECEIVABLE_ACCT | Allocation Invoice (SO) |
1400 Forderungen aus Lieferungen und Leistungen | ||||
| C_BP_CUSTOMER_ACCT | C_RECEIVABLE_SERVICES_ACCT | Invoice (SO) (Error unbalancing on Allocation) | 1410 Forderungen aus Lieferungen und Leistungen ohne Kontokorrent | ||||
| Geschäftspartner -> Lieferant -> Buchführung Lieferanten | C_BP_VENDOR_ACCT | V_LIABILITY_ACCT | Allocation Invoice (PO) |
1600 Verbindlichkeiten aus Lieferungen und Leistungen | |||
| C_BP_VENDOR_ACCT | V_LIABILITY_SERVICES_ACCT | Invoice (PO) (Error unbalancing on Allocation) | 1601 Verbindlichkeiten aus Lieferungen und Leistungen | ||||
| C_BP_VENDOR_ACCT | V_PREPAYMENT_ACCT | Allocation Payment |
1510 Geleistete Anzahlungen auf Vorräte | ||||
| Product Category -> Accounting | M_PRODUCT_CATEGORY_ACCT | P_ASSET_ACCT | Default Level 1 -> Product | 3970 Bestand Roh- Hilfs- und Betriebsstoffe | |||
| M_PRODUCT_CATEGORY_ACCT | P_AVERAGECOSTVARIANCE_ACCT | Default Level 1 -> Product | 83400 Average Cost Variance | ||||
| M_PRODUCT_CATEGORY_ACCT | P_COGS_ACCT | Default Level 1 -> Product | 3402 Produkt Vertriebsausgaben | ||||
| M_PRODUCT_CATEGORY_ACCT | P_COSTADJUSTMENT_ACCT | Default Level 1 -> Product | 3800 Bezugsnebenkosten | ||||
| M_PRODUCT_CATEGORY_ACCT | P_EXPENSE_ACCT | Default Level 1 -> Product | 3401 Produkt Ausgaben | ||||
| M_PRODUCT_CATEGORY_ACCT | P_INVENTORYCLEARING_ACCT | Default Level 1 -> Product | 3988 Lager Bestand Zwischenkonto | ||||
| M_PRODUCT_CATEGORY_ACCT | P_INVOICEPRICEVARIANCE_ACCT | Default Level 1 -> Product | 2663 Produkt Rechnung Preisdifferenz | ||||
| M_PRODUCT_CATEGORY_ACCT | P_PURCHASEPRICEVARIANCE_ACCT | Default Level 1 -> Product | 2665 Erträge a. Währungsumstellung auf Euro | ||||
| M_PRODUCT_CATEGORY_ACCT | P_RATEVARIANCE_ACCT | Default Level 1 -> Product | 58600 Rate Variance | ||||
| M_PRODUCT_CATEGORY_ACCT | P_REVENUE_ACCT | Default Level 1 -> Product | 8400 Erlöse 19% USt | ||||
| M_PRODUCT_CATEGORY_ACCT | P_TRADEDISCOUNTGRANT_ACCT | Default Level 1 -> Product | 8770 Gewährte Rabatte | ||||
| M_PRODUCT_CATEGORY_ACCT | P_TRADEDISCOUNTREC_ACCT | Default Level 1 -> Product | 3770 Erhaltene Rabatte | ||||
| Product -> Accounting | M_PRODUCT_ACCT | P_ASSET_ACCT | InOut Inventory |
3970 Bestand Roh- Hilfs- und Betriebsstoffe | |||
| M_PRODUCT_ACCT | P_AVERAGECOSTVARIANCE_ACCT | Not Used | 83400 Average Cost Variance | ||||
| M_PRODUCT_ACCT | P_COGS_ACCT | InOut | 3402 Produkt Vertriebsausgaben | ||||
| M_PRODUCT_ACCT | P_COSTADJUSTMENT_ACCT | Invoice | 3800 Bezugsnebenkosten | ||||
| M_PRODUCT_ACCT | P_EXPENSE_ACCT | InOut Invoice (PO) |
3401 Produkt Ausgaben | ||||
| M_PRODUCT_ACCT | P_INVENTORYCLEARING_ACCT | Invoice (PO) MatchInv |
3988 Lager Bestand Zwischenkonto | ||||
| M_PRODUCT_ACCT | P_INVOICEPRICEVARIANCE_ACCT | MatchInv | 2663 Produkt Rechnung Preisdifferenz | ||||
| M_PRODUCT_ACCT | P_PURCHASEPRICEVARIANCE_ACCT | MatchPO | 2665 Erträge a. Währungsumstellung auf Euro | ||||
| M_PRODUCT_ACCT | P_RATEVARIANCE_ACCT | Not Used (Design Error) | 58600 Rate Variance | ||||
| M_PRODUCT_ACCT | P_REVENUE_ACCT | Invoice (SO) | 8400 Erlöse 19% USt | ||||
| M_PRODUCT_ACCT | P_TRADEDISCOUNTGRANT_ACCT | Invoice (SO) | 8770 Gewährte Rabatte | ||||
| M_PRODUCT_ACCT | P_TRADEDISCOUNTREC_ACCT | Invoice (PO) | 3770 Erhaltene Rabatte | ||||
| Bank -> Account -> Accounting | C_BANKACCOUNT_ACCT | B_ASSET_ACCT | Bank | 1200 Bank | |||
| C_BANKACCOUNT_ACCT | B_INTERESTEXP_ACCT | Bank | 2110 Zinsaufwendungen für kurzfristige Verbindlichkeiten | ||||
| C_BANKACCOUNT_ACCT | B_INTERESTREV_ACCT | Bank | 2650 Sonstige Zinsen und ähnliche Erträge | ||||
| C_BANKACCOUNT_ACCT | B_INTRANSIT_ACCT | Bank Cash |
1201 Bank Kontobewegung | ||||
| C_BANKACCOUNT_ACCT | B_PAYMENTSELECT_ACCT | Allocation Payment (PO) |
1332 Bezahlung selektiert | ||||
| C_BANKACCOUNT_ACCT | B_UNALLOCATEDCASH_ACCT | Allocation Payment (SO) |
1203 Bank nicht zugeordnete Zahlungen | ||||
| Charge -> Accounting | C_CHARGE_ACCT | CH_EXPENSE_ACCT | Bank Cash |
4900 Sonstige betriebliche Aufwendungen | |||
| Project -> Accounting | C_PROJECT_ACCT | PJ_ASSET_ACCT | ProjectIssue | 1451 Forderungen aus Lieferungen und Leistungen ohne Kontokorrent ( bis 1 Jahr ) | |||
| C_PROJECT_ACCT | PJ_WIP_ACCT | ProjectIssue | 1452 Projekt Werte in Arbeit | ||||
| Revenue Recognition -> Revenue Recognition Plan | C_REVENUERECOGNITION_PLAN | P_REVENUE_ACCT | Created | 8400 Erlöse 19% USt | |||
| C_REVENUERECOGNITION_PLAN | UNEARNEDREVENUE_ACCT | Created | 8401 Vorausberechnete Einnahmen | ||||
| Tax Rate -> Accounting | C_TAX_ACCT | T_CREDIT_ACCT | Invoice (PO) | 1570 Abziehbare Vorsteuer | |||
| C_TAX_ACCT | T_DUE_ACCT | Invoice (SO) | 9901 Steuer Verbindlichkeiten | ||||
| C_TAX_ACCT | T_EXPENSE_ACCT | Invoice (PO) | 4340 Sonstige Betriebssteuern | ||||
| Warehouse & Locators -> Accounting | M_WAREHOUSE_ACCT | W_DIFFERENCES_ACCT | Inventory | 3986 Lager Differenzkorrektur Gewinn / Verlust |
