PGG Wrightson bank feeds
PGG Wrightson accounts
|Account Name||Account Type||Delivery Frequency||Description of Feed|
|Livestock trading and rural supplies||Supplier Feed||Monthly (first week of the month)||This bank
feed includes livestock trading and rural supplies statement
The transactions are displayed on the payment due date.
There are two separate terms; 14 days for livestock trading and the 20th of the
following month for rural supplies.
This aligns these transactions with the date of the corresponding deposit (livestock sale) or withdrawal (livestock or rural supply purchase) in your bank account.
|Livestock trading and rural supplies (displayed on invoice date)||Supplier Feed ||Monthly (first week
of the month) ||This bank feed includes livestock
trading and rural supplies statement information. |
The transactions are displayed showing the original transaction date.
This is ideal if you are reporting GST on an 'invoice basis' or as an alternative if you don't want to account for multiple payment terms.