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Tax Reconciliation Interface

The Tax Reconciliation module includes to both Value Added Tax (VAT) and Withholding Tax (WHT) reconciliations. If you do not use WHT, the name becomes VAT Reconciliation.

This interface allows you to reconcile VAT and WHT to ensure the correct amounts are paid or claimed from the relevant revenue services. These reconciliations do not update the transactions other than changing reconciled transactions to read-only.

The following tax types are supported:

  • WHT Payable: Reconciles the amounts you withheld from suppliers. The WHT Account is credited with the amounts withheld and debited with the payment made to the tax authorities.
  • WHT Offset: Reconciles the amounts deducted from your invoices over the financial year. The WHT Account is debited, and a journal entry can be done to credit the WHT account and debit a WHT expense account.
  • VAT: Standard Invoiced-based model. The VAT Control account is debited and credited from the various transactions like customer and supplier invoices and expenses. The VAT payment or refund should result in a zero balance on the VAT Control account (e.g. the VAT payment made during July should equal the balance of the VAT account at the end of June).

List View

Buttons Explained

ButtonDescription
ViewDisplays a list of recons.
Arrow on View button > Reset Data FilterResets the selected filters.
NewCreates one of these reconciliations as selected from the dropdown list:
– VAT
– WHT Payable
– WHT Offset
OutputExports the selected report in .xlsx, .htm or .csv format.
MenuShow Notes
Settings
– Edit User Access
– Edit Accounting (Accounts, VAT TypesCurrenciesCredit Terms, Bank Profiles
– Edit Statuses
Layout

Filters Explained

FilterDescription
SetA selection of date options including No Date to display all the entries.
DatesAllows custom dates to be entered.
ArrowsAdjusts the dates in the direction of the arrow.
EntityAllows a specific Registered Entity to be selected.
Status GroupsCheckboxes to filter the entries based on the status groups.
If none of the boxes are checked, all the entries are displayed.

Fields Explained

FieldDescription
StatusThe status of the reconciliation.
No.The system-generated number allocated to the entry.
Tax TypeThe tax selected for the recon (e.g. VAT, WHT).
EntityThe registered entity for which the recon was completed.
FromThe start date of the recon
After the first recon is created, this date is automatically set as the day after the previous recon ended.
ToThe end date of the recon
Out of PeriodThe total amount due from previous periods that were not included in a recon.
Amounts are displayed in red if a refund is due (VAT only).
OutputThe total output that is due for the period which includes the Out-of-Period amount.
InputThe total input that may be claimed for the period which includes the Out-of-Period amount.
BalanceThe total amount payable (positive balance) or refundable (red, negative balance).
WidgetA submenu with the following actions:
Edit: Opens the reconciliation for editing.
Delete XXX Reconciliation: Deletes the reconciliation where XXX represents the type of reconciliation.

VAT Reconciliations Edit View

Buttons Explained

ButtonDescription
ArrowsNavigates between the reconciliations.
OutputGenerates reports if templates are added.
Allows the items to be exported.
NewCreates one of these reconciliations as selected from the dropdown list:
– VAT
– WHT Payable
– WHT Offset
SaveSaves any changes
DoneChanges the reconciliation’s status to Complete.
ActionsDelete VAT Reconciliation: Deletes the VAT reconciliation.
MenuSettings
– Edit User Access
– Edit Accounting (Accounts, VAT TypesCurrenciesCredit Terms, Bank Profiles
– Edit Statuses
Layout

Fields Explained: Header

FieldDescription
StatusA dropdown list of statuses to select a header status.
Status BarAn area to type a note.
No.The system-generated number allocated to the reconciliation.
EntityA dropdown list of registered entities to select one.
FromThe start date of the reconciliation.
ToThe end date of the reconciliation.
Total Section
OutputThe total output amount that was on the transactions included in the reconciliation.
InputThe total input amount that was on the transactions included in the reconciliation.
Balance DueThe amount that is payable or refundable (negative balance).
Transaction sectionLists the totals per transaction.
VAT Types sectionLists the totals per VAT Type.

Fields Explained: Transactions

Buttons and CheckboxDescription
Items (button)Opens an interface to add transactions for the selected period.
Synchronise LedgerAutomatically opens the clicked transaction on the right panel.
RemoveRemoves all the selected entries.

FieldsDescription
IDThe system-generated number for the entry.
StatusThe item’s status where item refers to the transaction (which is an item on a reconciliation).
Trans No.The original Transaction Type code and number (e.g. CI 45 where CI represents the Customer Invoice and 45 is the invoice number).
TransThe transaction’s code (e.g. CI for Customer Invoice).
This field is included in Trans No. but also listed separately for filtering and grouping purposes.
No.The transaction’s number.
This field is included in Trans No. but also listed separately for filtering and grouping purposes.
DateThe date of the transaction.
ReferenceThe reference field entered on the transaction.
Item No.The item number of the entry on the transaction (i.e. the line number).
DescriptionThe item’s description.
VAT TypeThe VAT Type selected for the transaction.
OutputThe VAT amount on the transaction where the VAT Category was Output+ (e.g. customer invoices) or Output- (e.g. customer credit notes).
InputThe VAT amount on the transaction where the VAT Category was Input+ (e.g. supplier invoices) or Input- (e.g. supplier debit notes).
Total (exc)The total VAT exclusive amount on the transaction.
The total at the bottom of the column sums the values in the column and does not deduct debits from credits or vice versa.
VATThe total VAT on the transaction.
The total at the bottom of the column sums the values in the column and disregards if the transaction debited or credited VAT Control.
Total (inc)The total VAT inclusive amount on the transaction.
The total at the bottom of the column sums the values in the column and does not deduct debits from credits or vice versa.
WidgetA submenu with the following actions:
Open Ledger: Opens the transaction on the right panel.
Remove Transaction: Removes the transaction from the VAT recon. This step is necessary if the transaction must be edited.

WHT Offset Reconciliations Edit View

WHT Offset refers to the WHT deducted from you by your customers. In Thailand, these offsets may be deducted as an expense on your Statement of Profit or Loss. This reconciliation helps you determine the correct amount.

Buttons Explained

ButtonDescription
ArrowsNavigates between the reconciliations.
OutputGenerates reports if templates are added.
Allows the items to be exported.
NewCreates one of these reconciliations as selected from the dropdown list:
– VAT
– WHT Payable
– WHT Offset
SaveSaves any changes
DoneChanges the reconciliation’s status to Complete.
ActionsDelete WHT Offset Reconciliation: Deletes the reconciliation.
MenuSettings
– Edit User Access
– Edit Accounting (Accounts, VAT TypesCurrenciesCredit Terms, Bank Profiles
– Edit Statuses
Layout

Fields Explained: Header

FieldDescription
StatusA dropdown list of statuses to select a header status.
Status BarAn area to type a note.
No.The system-generated number allocated to the reconciliation.
EntityA dropdown list of registered entities to select one.
FromThe start date of the reconciliation.
ToThe end date of the reconciliation.
AmountThe total withholding tax on all the transactions included in the reconciliation.
Transaction sectionLists the totals per transaction.
WHT AccountsLists the totals per account created (Current Assets / Customers only).

Fields Explained: Transactions

Buttons and CheckboxDescription
Items (button)Opens an interface to add transactions for the selected period.
Synchronise LedgerAutomatically opens the clicked transaction on the right panel.
RemoveRemoves all the selected entries.

FieldsDescription
IDThe system-generated number for the entry.
StatusThe item’s status where item refers to the transaction (which is an item on a reconciliation).
Trans No.The Transaction Type code and number (e.g. CI 45 where CI represents the Customer Invoice and 45 is the invoice number).
TransThe transaction’s code (e.g. CI for Customer Invoice).
This field is included in Trans No. but also listed separately for filtering and grouping purposes.
No.The transaction’s number.
This field is included in Trans No. but also listed separately for filtering and grouping purposes.
DateThe date of the transaction.
ReferenceThe reference field entered on the transaction.
Item No.The item number of the entry on the transaction (i.e. the line number).
DescriptionThe item’s description.
Dr AccountThe account that was debited.
Cr AccountThe account that was credited.
AccountThe WHT account that the tax was posted to.
AmountThe WHT amount.
Total (exc)The total VAT exclusive amount on the WHT transaction.
VATThe total VAT on the WHT transaction.
Total (inc)The total VAT inclusive amount on the WHT transaction.
WidgetA submenu with the following actions:
Open Ledger: Opens the transaction on the right panel.
Remove Transaction: Removes the transaction from the recon. This step is necessary if the transaction must be edited.

WHT Payable Reconciliations Edit View

WHT Payable refers to the WHT you deducted from your suppliers. In Thailand, these amounts must be paid over to the revenue services by the 7th of the following month. This reconciliation helps you determine the correct amount to pay.

Buttons Explained

ButtonDescription
ArrowsNavigates between the reconciliations.
OutputGenerates reports if templates are added.
Allows the items to be exported.
NewCreates one of these reconciliations as selected from the dropdown list:
– VAT
– WHT Payable
– WHT Offset
SaveSaves any changes
DoneChanges the reconciliation’s status to Complete.
ActionsDelete WHT Payable Reconciliation: Deletes the reconciliation.
MenuSettings
– Edit User Access
– Edit Accounting (Accounts, VAT TypesCurrenciesCredit Terms, Bank Profiles
– Edit Statuses
Layout

Fields Explained: Header

FieldDescription
StatusA dropdown list of statuses to select a header status.
Status BarAn area to type a note.
No.The system-generated number allocated to the reconciliation.
EntityA dropdown list of registered entities to select one.
FromThe start date of the reconciliation.
ToThe end date of the reconciliation.
AmountThe total withholding tax on all the transactions included in the reconciliation.
Transaction sectionLists the totals per transaction.
WHT AccountsLists the totals per account created (Current Liabilities / Suppliers only).

Fields Explained: Transactions

Buttons and CheckboxDescription
Items (button)Opens an interface to add transactions for the selected period.
Synchronise LedgerAutomatically opens the clicked transaction on the right panel.
RemoveRemoves all the selected entries.

FieldsDescription
IDThe system-generated number for the entry.
StatusThe item’s status where item refers to the transaction (which is an item on a reconciliation).
Trans No.The Transaction Type code and number (e.g. SP 9 where SP represents the Supplier Payment and 9 is the transaction number).
TransThe transaction’s code.
This field is included in Trans No. but also listed separately for filtering and grouping purposes.
No.The transaction’s number.
This field is included in Trans No. but also listed separately for filtering and grouping purposes.
DateThe date of the transaction.
ReferenceThe reference field entered on the transaction.
Item No.The item number of the entry on the transaction (i.e. the line number).
DescriptionThe item’s description.
Dr AccountThe account that was debited.
Cr AccountThe account that was credited.
AccountThe WHT account that the tax was posted to.
AmountThe WHT amount.
Total (exc)The total VAT exclusive amount on the WHT transaction.
VATThe total VAT on the WHT transaction.
Total (inc)The total VAT inclusive amount on the WHT transaction.
WidgetA submenu with the following actions:
Open Ledger: Opens the transaction on the right panel.
Remove Transaction: Removes the transaction from the recon. This step is necessary if the transaction must be edited.

Learn More

  1. South African VAT Types: Lists the commonly used VAT Types in South Africa.
  2. Tax Reconciliation Interface: Explains the interface used to reconcile VAT and WHT.
  3. Tax Reconciliation Setup Tutorials: These tutorials explain how to setup QuickEasy BOS to use the Tax Reconciliation feature.
  4. VAT Reconciliation Tutorials: These tutorials explain how to reconcile your VAT and obtain the amounts you must fill in on your VAT return.
  5. VAT Setup for Transaction Types Tutorials: These tutorials explain how to setup the VAT defaults for Transactions.
  6. VAT Types Interface: Explains the VAT Types interface.
  7. VAT Types Tutorials: These tutorials explain how to create the VAT Types for compliance with your country’s VAT regulations.
  8. WHT Reconciliation Tutorials: These tutorials explain how to reconcile Withholding Taxes.
  9. WHT Setup Steps: These tutorials explain how to setup BOS to use WHT.
  10. WHT Tutorials: These tutorials explain how to apply withholding taxes to transactions.