Bank Reconciliation > Tables > Bank Account Fund Groups > Bank Account Group Funds
This tab is used to create multiple group funds for each bank account:
Add a bank account group fund:
Field | Description |
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Group Code |
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❏ Click +Add to add a fund to the selected group code.
Fund | Type the three-digit fund code. |
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Fscl Yr | Type the one-digit fiscal year. It is recommended to type X to mask the fiscal year. |
Obj | Type the four-digit object code. Object codes in the 1100-1199 and 1800-1999 ranges are allowed. |
Sobj | Type the two-digit subobject code. |
Investment Type | Click to select the investment type. This field is optional and affects the Finance Cash Position by Bank reports. Note: Investment accounts are not extracted on the Bank Reconciliation > Maintenance > Bank Transactions > Create Transactions tab. |
Investment Description | Type the investment description. The field can be a maximum of 30 characters. |
❏ Click Save.
Other functions and features: