Account Yield Tab
Use this tab to define yield information for this Account.
The grid displays the Yield Adjustments for this Account by the Adjustment Type(s) selected.
Adjustment Type. The selected Adjustment Type(s).
Adjustment Code. The code for this type.
Adjustment Amount. The amount of the adjustment.
Currency Code. The currency in which this adjustment is expressed.
Property. If the system is configured for multi-property, use this pick box to select the property to which these yields apply.
New. Create a new yield adjustment.
Edit. Edit an existing yield adjustment.
Delete. Delete the highlighted
Close. Close the Yield screen and return to the Account Screen.
See Also