Index

A  B  C  D  E  F  J  L  N  P  R  S  T  V  W 

A

Acceptance/Transfer Note, 47.2
Accounts
petty cash, 21.1
stored in category codes, 13.2.1
stored in object/sub-account, 13.2.2
Accounts payable
exchange rate differences, 30.3
Accounts receivable
exchange rate differences, 30.2
Address Book videos
fields, A.1
Adjustments
associating, 8.1

B

Bank account
company setup, 5.4
vendor setup, 5.4.1

C

Corrections
associating, 8.1
Correspondence
review journal entries, 14.3
set up account, 13.3
set up account type for accounts stored in category codes, 13.2.1
set up account type for accounts stored in object/sub-accounts, 13.2.2
set up constants, 11.2
set up methods, 13.1
set up rules, 11.3

D

Depreciation
set up, 46.1
Disposal Account Rules, 49.2.3

E

Exchange rate
set up differences, 30.2
set up differences for accounts payable, 30.3

F

Fixed Asset Transfer Note, 48.2
Fixed assets
additional information, 45.2
Function Key Exits
generic, A.1

J

Journal entries
review correspondence, 14.3

L

Ledger types
set up to exclude from correspondence accounting, 13.4
Localization
set user preference, 1.1

N

Next numbers
petty cash, 21.2

P

Payment
globally update G/L dates, 5.9.3
update G/L dates, 5.9.2
Payment order
enter supplemental data, 5.6.1
print, 5.8.2
Payment Order Transitory
verify generic text setup, 5.3
Petty cash
print the book, 26.2
process cash transactions, 22.2
set up, 21.1
set up next numbers, 21.2
Prepayment Tax Processing program, 39.6

R

Revaluation Codes, 45.3

S

Supplemental data
enter, 5.6.1
Suspended tax
release, 36.1

T

Tax
enable suspended
Suspended tax, 35.1
invoice detail, 40.4
invoice program, 40.5
Prepayment Tax Processing program, 39.6
release suspended, 36.1
Text setup
verify generic, 5.3
Transfer Note
generate, 47.2
generate fixed asset note, 48.2

V

VAT
suspended process, 34.1
Voucher entry video
fields, A.1

W

Write-Off Note, 49.2.4