Setting up an amortization schedule for prepaid items is essential for accurately allocating expenses over time and ensuring that your financial records reflect the true cost of the prepaid items. To create this process, you'll have to create prepaid expense classes, set up prepaid expenses in the module, generate amortization schedules, approve the schedules, and finally post the prepaid schedules to the general ledger.
This allows you to streamline your financial processes, track expenses effectively, and make better-informed business decisions based on accurate and up-to-date financial data. It's a valuable tool for managing cash flow, budgeting, and maintaining financial transparency within your organization.
To set up a prepaid workflow, you'll need to:
To create a prepaid expense class in the prepaid module within Sage Intacct, you need to:
These classes will need to be chosen during the prepaid item creation. Using an easy-to-understand format will be helpful. For example, you can use “Insurance_12” to signify that selecting this prepaid class will amortize to the insurance expense account for 12 months. Other examples are below:
While this format is not mandatory, it is helpful to have the prepaid expense class note the expense account and the months of amortization to ensure you’re choosing the correct class during the prepaid item creation.
Prepaid expenses can be created using an AP bill, a purchasing vendor invoice, or by importing or creating manually. Many clients use the AP bill or the vendor invoice to make the prepaid expense within the module. However, some clients use GL data to export and either create a manual prepaid item or import it.
The method of creation between these two screens is very similar. The recommended choice depends on your current method of creating AP transactions. If your company is using AP as your primary way to create vendor bills, then using AP to create the prepaid is recommended. If your company primarily uses purchasing, then the prepaid can be created using a transaction definition configured to post to the GL.
A prepaid can be assigned to each vendor invoice or bill line. When amortized, each prepaid will use the dimensions on this line. For example, prepaid software coded to an IT department, an entity, and a class will follow those dimensions when amortized. Use a new line to create a new prepaid for each new combination of dimensions.
These transactions will need to follow your top-level or entity-level configurations. Please get in touch with us if you’re not sure which level you should be posting at.
The fields here in AP will be identical in your purchasing environment. The purchasing transaction must be configured to hit the GL. In addition, this line would need to be coded to the Prepaid GL and not the expense account initially.
GL Account | Debit (DR) | Credit (CR) |
Prepaid Software GL | XXXX | |
Accounts Payable | XXXX |
GL Account | Debit (CR) | Credit (CR) |
Prepaid Expense Account | XXXX | |
Prepaid Software GL | XXXX |
Once you have created your prepaid item, you can confirm that the schedule is properly populated in the prepaid module by navigating to Applications Menu > Prepaid Module > Prepaid Schedules (the first option under prepaid classes).
If you would like to confirm the dimensions associated with this prepaid, you can click on the prepaid name to view the details behind this prepaid schedule.
Once everything has been approved, the next step is to select all prepaids with a review status. The review status signifies that the prepaid needs to be reviewed for accuracy first before amortization schedules can be generated. To quickly find the schedules that have a review status, fill this screen with a status of “review.”
If the prepaids in the list have not been changed, you can select all prepaid items (at the top right of the table, there is a select all dropdown) and choose the “generate depreciation schedules” option from the “More Actions” dropdown. Once this option is selected, the amortization schedules for the life of the prepaid are generated (based on the expense started selected). These schedules will have a status of review. This is an opportunity to make edits to the prepaid expense schedules.
If the above schedules have not changed, you can select all prepaid again from this screen and choose “Approve and Start” from the More Actions drop-down.
There are six workflow statuses a schedule goes through:
Tip: You may notice that Intacct needs a little time to generate the schedules. The amount of time will depend on the number of schedules being generated. Please reach out to the RKL team if you believe your schedules are stuck in the queue to be generated.
You have chosen the prepaid expense class to tell Intacct how many entries should be generated and the prepaid expense GL account. You have generated and approved the schedules to be posted. The last step is to post depreciation entries to the GL.
Navigate to Applications Menu > Prepaid Module > Prepaid Expense Schedule Entries (the third option in the menu). On this screen, you will find all prepaid schedules (depending on the filtered view you have selected).
Once you initiate and approve the schedule, the status of your prepaid expense schedule entries transitions from Review to Pending, indicating readiness for posting to the GL. There are four workflow statuses that a schedule entry undergoes: Review, Pending, Submitted, and Posted. During the Review stage, the entry requires review and potential editing before it's ready for posting. Once it reaches the Pending stage, it's prepared for posting to the GL. When the entry moves to the Submitted stage, it has been forwarded to the posting service. Finally, once the entry is Posted, it has been successfully recorded in the GL. To verify the entries, refer to the Prepaid Expense Journal specified in the corresponding prepaid expense class.
Tip: Post Pending schedule entries to the GL from month to month, not all at once.
You have now successfully posted your entries to the GL!
Once the entries are posted, you can check the prepaid expense journal defined by the related prepaid expense class to verify that your entries have been posted correctly.
Tip: Journals are typically created with a PPJ or PP code, but each environment may differ slightly.
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