This page was removed as a result of the Bank Reconciliation application implementation.
Finance > Tables > Bank Account Fund Groups > Bank Account Group Funds
This tab is used to create multiple group funds for each bank account:
Field | Description |
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Group Code |
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Click +Add to add a fund to the selected group code.
Fund Code(s)/Year(s) Assigned |
Select a fund from the list. The noneditable fund description displays the name of the selected fund from the Account Codes table. |
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Click Save.
Retrieve | Retrieve data.
The Retrieve button is also used to retrieve information from the last save. If you click Retrieve, any unsaved changes are lost.
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+Add | Add a row.
Click to add a row to the grid or press ALT+1. Note: When using ALT+1 to add a new row to the grid, you must use the 1 key on the keyboard, not the 1 key on the numeric keypad.
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Refresh Tabs | Refresh the tab data.
Click to refresh the Group Code field on each of the Bank Account Group Funds, Cash Object, and Investment Objects tabs if the group code is changed or if a new group code is added. You do not need to exit that page to make changes and refresh the page.
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Print data.
The following Bank Account Table options are displayed:
Current Tab Page - prints only the tab page currently open.
All Account Code Tables - prints all the Bank Code tab pages.
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Delete a row.
Click to delete a row. The row is shaded red to indicate that it will be deleted when the record is saved.
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