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obsolete:finance:tables:bankaccountfundgroups:investmentobject

This page was removed as a result of the Bank Reconciliation application implementation.

(OBSOLETE) Investment Object - FIN2300

Finance > Tables > Bank Account Fund Groups > Investment Object

This tab is used to establish multiple investment object combinations for each bank account fund group. These combinations are used to break down some reports by investment types.

Set up an investment object code:

Click +Add to add a row.

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.

Fund/Fscl Yr

Click Drop-down Arrow to select a fund/fiscal year from the list.

All investment object/subobject codes that exist for the selected Group Code and Fund/Fscl Yr fields are displayed in the Investment Object(s)/Subobject(s) Assigned drop-down list.

  • The noneditable object description displays the name of the object code from the Account Codes table.
  • An error message is displayed if the same object/subobject code is used in the same fund/year in different account groups.
Investment TypeClick Drop-down Arrow to select an investment type.
DescriptionType a description for the investment object. The description becomes the description for the Cash Position Report.

Click Save.

Notes:

  • Each new object/subobject code is validated against the chart of accounts.
  • Each new object/subobject code is validated against the object/subobject codes on the Investment Object tab. A message is displayed if the user tries to save a object/subobject code that already exists on the Investment Object tab.

Other functions and features:

RetrieveRetrieve data.
+AddAdd a row.
PrintPrint data.
Trashcan Icon Delete a row.
obsolete/finance/tables/bankaccountfundgroups/investmentobject.txt · Last modified: 2019/03/07 17:35 by emoreno