- Specify the IC branch codes of the companies in bottom matrix to which the allocation is to be made. You can use the Load All Branches button to automatically populate the IC branch codes of all branch companies.
- If receiver company is branch enabled, Specify the receiver company branch code in the Receiver Branch Code field.
- If you specify the target company allocation account for a IC branch code in Allocation Account Code field, the allocation account will be used instead of the default income account in the receiver company.
Note
To set up the replication schedule for the allocation account, in the Administration Console, choose the Preferences option. In the left frame, choose Allocation Acct Scheduling and complete the setup. You can set the schedule to reoccur on a daily or weekly basis at a defined time.
You can also synchronize the allocation account from SAP Business One by choosing Administration → System Initialization → Company Details → Accounting Data tab. In the Allocation Accounts Synchronization field, choose the Sync button.
d. Depending on the selected allocation method, specify a value in either the Allocation % or Allocation Amount field.
- Choose Add to save the allocation information, and then choose Allocate.
The system creates a separate interbranch draft A/P invoice for each branch company to which the allocation is to be made.
- In the Draft Documents window:
- From the User dropdown list, choose the user.
- Choose and display the interbranch draft A/P invoice
- Specify any additional information, if required, and choose Add.
- A draft A/R invoice is created in the receiver system
Next Step: Accepting Allocation Transactions – Invoice Type Allocation in A/R Service Invoice Allocation in Intercompany Solution