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Use the Distributions tab of the Vendors screen to set up a template for use in data entry. Enter GL accounts and descriptions that will be commonly used for this vendor and, for 1099 recipient vendors, specify the 1099 form/box numbers to which amounts for those accounts should be reported. The selections available in the 1099 column drop-down lists are those entered in the 1099 Properties tab.
For Trade and 1099 vendors, you can import amortization schedules created in ToolBox CS or TValue to have the application generate vendor payments for a specified time frame.
Choose Setup > Vendors and then click the Distributions tab.
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