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bankreconciliation:tables:bankaccountfundgroups:bankaccountgroupfunds

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Bank Account Group Funds

Bank Reconciliation > Tables > Bank Account Fund Groups > Bank Account Group Funds

This tab is used to create multiple group funds for each bank account:

  • For each of the individual funds created, you can have multiple investment and cash object/subobject combinations.
  • You can change between bank groups and edit records. Funds cannot be duplicated.
  • You can add the same fund, year, obj, sobj, investment type in an active group if the same fund, year, obj, sobj and investment type exists in an inactive group.
  • You cannot add the same fund, year, obj, sobj, investment type in an inactive group if the same fund, year, obj, sobj and invest type exists in an active group.

Set up a bank account group fund:

Field Description
Group Code

Click Drop-down Arrow to select a bank account group code from the list. All fund codes and years that exist for the group code are displayed.

Click +Add to add a fund to the selected group code.

screenshot

FundType the three-digit fund code.
Fscl YrType the one-digit fiscal year. By default, the fiscal year is masked (i.e., X).
ObjType the four-digit object code.
SobjType the two-digit subobject code.
Investment TypeClick to select the investment type.
Investment DescriptionType the investment description. The field can be a maximum of of 30 characters.

Click Save.

Other functions and features:

+AddAdd a row.
ResetReset data.
Delete a row.
bankreconciliation/tables/bankaccountfundgroups/bankaccountgroupfunds.1516205547.txt.gz · Last modified: 2018/01/17 11:12 (external edit)