The following control maintenance records belong to the GL (General Ledger) area within the ACCT (Accounting) category.
Use the Auto Payroll Balance Accounts screen to specify offset accounts for each branch for posting differences that occur when journal entries for automatic payroll do not balance. More:
For each branch, select the accounting postings to make for orders generated when the pricing branch and shipping branch are not the same. More:
Indicate whether the Sales Budgeting program creates budgets for the company's fiscal year, rather than the calendar year. More:
See SOE DTS (Direct Through Stock) in the Sales Order Entry control maintenance record documentation.
Select the sales source to assign to orders created using the third party software iProcure. The sales source must be a valid sales source defined in G/L Sales Source Maintenance.
Indicate whether to set the default view of the Business Summary Sales Detail to hide accounts that have a zero balance. More:
Use this control maintenance record to assign different bank accounts to each branch. More:
Specify the credit and debit G/L accounts to which to post a journal entry for manually reported sales.
New in Release 9.0.1
Allows users to post account payable freight to a sales order general ledger branch respecting the current control maintenance records. More:
Specify the order print statuses to be considered as in-process sales by the Business Summary sales-in-process calculation. More:
Indicate whether to show all G/L Type detail in the G/L Account Business Summary. More:
Indicate whether the G/L Report Generator respects G/L account type flags when displaying actual data for a trial balance type of report. More:
Enter cost center types to assign to G/L accounts for reporting purposes in G/L Template Maintenance.