This page was removed as a result of the Bank Reconciliation application implementation.
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.
Click +Add to add a row.
Field | Description |
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Group Code |
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Fund/Fscl Yr |
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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.
Investment Type | Click to select an investment type. |
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Description | Type a description for the investment object. The description becomes the description for the Cash Position Report. |
Click Save.
Notes:
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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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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