(Tạo trang mới với nội dung “'''Type''' Account Type is used for information purpose, to generate country-specific legal reports, and set the rules to close a fiscal year and generat…”)
Account Type is used for information purpose, to generate country-specific legal reports, and set the rules to close a fiscal year and generate opening entries.
Account Type is used for information purpose, to generate country-specific legal reports, and set the rules to close a fiscal year and generate opening entries.
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'''Tags'''
'''Tags'''
Optional tags you may want to assign for custom reporting
Optional tags you may want to assign for custom reporting
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'''Account Currency'''
'''Account Currency'''
Forces all moves for this account to have this account currency.
Forces all moves for this account to have this account currency.
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'''Type'''
'''Type'''
The 'Internal Type' is used for features available on different types of accounts: liquidity type is for cash or bank accounts, payable/receivable is for vendor/customer accounts.
The 'Internal Type' is used for features available on different types of accounts: liquidity type is for cash or bank accounts, payable/receivable is for vendor/customer accounts.
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'''Allow Reconciliation'''
'''Allow Reconciliation'''
Check this box if this account allows invoices & payments matching of journal items.
Check this box if this account allows invoices & payments matching of journal items.
Bản hiện tại lúc 15:49, ngày 7 tháng 12 năm 2017
Type
Account Type is used for information purpose, to generate country-specific legal reports, and set the rules to close a fiscal year and generate opening entries.
Tags
Optional tags you may want to assign for custom reporting
Account Currency
Forces all moves for this account to have this account currency.
Type
The 'Internal Type' is used for features available on different types of accounts: liquidity type is for cash or bank accounts, payable/receivable is for vendor/customer accounts.
Allow Reconciliation
Check this box if this account allows invoices & payments matching of journal items.