Use the General tab to maintain:
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Banking Configuration Maintenance - General tab key fields and buttons
Fields
Field | Description | |||
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Bank Code | This is the code that you want to reference the account with. It must be unique. | |||
Bank G/L Code | Cash at Bank account that you have set up in General Ledger Maintenance. | |||
Currency | Currency that this bank account is in. See Maintaining foreign currencies | |||
Receipt Surcharge G/L Code | Default G/L code to which credit card surcharge amounts are allocated. | |||
Receipt Stationery Suffix | Suffix for the file name used to store the Crystal Report specific to your organisation's receipt stationery. | |||
Receipt/Cheque Printer Name | Not currently used but will allow you to specify the default printer. | |||
No of Bank Deposit Prints | Prints the specified number of deposit slips whenever a cash receipts posting is closed off. | |||
Cheque Stationery Suffix | Suffix for the file name used to store the Crystal Report specific to your organisation's cheque stationary. | |||
Last Cheque Number | Default when printing cheques. | |||
Only Pay Invoices Allocated to This Bank Account | Select to prevent this bank account paying invoices that are allocated to a different bank account. | |||
Lines on Cheque R/A | Maximum number of lines that can appear on the cheque remittance advice slip. | |||
Bank Deposit Suffix | Suffix for the file name used to store the Crystal Report for your organisation's bank deposits. | |||
Cashflow Group Code | Group to use in the cashflow report. |
Buttons
Button | Description |
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Insert a new bank account entry then edit the details. | |
Delete the selected bank account entry.
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Save the changes made to the new or existing bank account record. |