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:3. At the detail, select GL Code: '''GST-KASTAM'''. | :3. At the detail, select GL Code: '''GST-KASTAM'''. | ||
:4. Enter the description to describe the GST Payable for the period, eg. '''GST Payable - Jan 2016'''. | :4. Enter the description to describe the GST Payable for the period, eg. '''GST Payable - Jan 2016'''. | ||
:5. Based on the GST Returns, enter the GST amount payable into the '''Amount''' column | :5. Based on the GST Returns, enter the GST amount payable '''(Rm836.04)''' into the '''Amount''' column. | ||
::[[File: GST-Payment to RMCD-01.jpg]] | ::[[File: GST-Payment to RMCD-01.jpg]] | ||
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Revision as of 09:05, 25 February 2016
GST-Payment to RMCD
Introduction
- 1. Net GST Payable is the total GST amount to be paid to RMCD.
- 2. Net GST Claimable is the total GST amount to be claimed or refund from RMCD.
Payment to RMCD
Menu: GL | Cash Book Entry (PV)...
- 1. Click on the New arrow key down button. Select Payment Voucher'.
- 2. Enter the ROYAL MALAYSIA CUSTOMS DIRAJA' into Pay To field.
- 3. At the detail, select GL Code: GST-KASTAM.
- 4. Enter the description to describe the GST Payable for the period, eg. GST Payable - Jan 2016.
- 5. Based on the GST Returns, enter the GST amount payable (Rm836.04) into the Amount column.
Refund from RMCD
Menu: GL | Cash Book Entry (OR)...
- 1. Create New Customer Payment.
- 2. Enter the Paid Amount, eg. Rm25,000.00 (USD6,000.00)
- 3. Untick Non-Refundable for GST equal to 0%, eg. ZRL and ZRE.
- 4. Press CTRL + ALT + G.
- 5. Enter the tax transactions. See the GST Taxable detail in the screenshot below.
- 5. Process GST Returns (GST | New GST Returns...).
- 6. Print the GST-03.
- GST-03 results:-
GST-03 Item Description Local Amount 11 Total Value of Export Supplies (ZRE) 25,000.00
GST-Kastam Account
Menu: GL | Print Ledger Report...
- 1. Select the date range.
- 2. Select the GL Account code : GST-KASTAM.
- 3. Click Apply.
- 4. RMCD outstanding transactions will be display as below.