Error: Partner Schedule K-1, Part III, Line 2 incorrect data
Schedule K-1 Part III Line 2 displays incorrect data when the income summary amount and special allocation code aren't entered.
Schedule K
To resolve this issue, enter the income summary amount and special allocation code, then run a full recompute.
- Go to .
- Enter the amount and the special allocation code.
- Run a full recompute.
Pass through entities
The 2nd method for populating the Sch K-1 Line 1 in Tax Forms is from the Organizer section for Pass Through Entities.
- Go to the folderOrganizer,Activity Information, andPass-Through Entity.
- Either open an existing Pass Through Entity entry, or selectAdd new Pass-Through Entityto enter a new Pass Through.
- Go to thePass-Through Entity Activity,K-1 Line, Lines 1-15tab.
- Review the entries under theIncome (Loss)section for the Schedule K-1Line 1 Ordinary income (loss) from pass-through entitiesline. You can use an amount and allocation code here.
- Do a full recompute when you finish your changes.
- If the amounts are still not allocated to the Tax Forms properly based on your Organizer entries:Go to .
- Select theMissing Partner K-1 Amountsbutton.
- Do a full recompute when you finish your changes.