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bankreconciliation:maintenance:banktransactions:transactionmaintenance

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bankreconciliation:maintenance:banktransactions:transactionmaintenance [2017/07/19 18:50] emorenobankreconciliation:maintenance:banktransactions:transactionmaintenance [2018/10/18 20:24] (current) emoreno
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 //**Bank Reconciliation > Maintenance > Bank Transactions > Transaction Maintenance**// //**Bank Reconciliation > Maintenance > Bank Transactions > Transaction Maintenance**//
  
-<WRAP round intro>This tab is used to create, edit, and delete unreconciled data from the bank reconciliation transactions table.</WRAP> +{{page>general:bankreconciliation:maintenance:banktransactions:transactionmaintenance:body}}
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-====Retrieve data:==== +
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-^ Field                                        ^ Description    /*Table with two rows*/ +
-^Group Code|Click {{:images:dropdown.gif|}} to select a group code from the drop-down. After you select a group code, the associated transactions (cash receipts, checks, and journal vouchers) are displayed in accordion style sections. The group codes are populated from the Tables Bank Account Fund Groups > Bank Account Group tab.|   +
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-Click **Save**. +
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-====Other functions and features:==== +
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-^{{:tsds:images:trash_delete.gif|}} | ++ Delete a row.|{{page>general:delete_a_row}}++|  /*Table row with text link*/  +
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 +{{indexmenu_n>15}}
  
  
  
bankreconciliation/maintenance/banktransactions/transactionmaintenance.1500490242.txt.gz · Last modified: 2017/07/19 13:50 (external edit)