View: Bank Options

RotoID: BK0010
Tables: BKOPT
DLL: BKOPT

Compositions: 0

Keys: 1

Title  Fields

Bank Option   OPTIONNBR

Fields: 13

Field  Index  Type  Title  Attributes  Presentation

OPTIONNBR  String*4  Bank Option  E A K R   
NXTSEQ  BCD*5.0  Next Posting Sequence  E A   
GLDEFER  Boolean  Create G/L Batches  E A  List: 2 entries
0=During Posting
1=On Request Using Create G/L Batch Icon
GLCONSOL  Integer  Consolidate G/L Batches  E A  List: 3 entries
1=Do Not Consolidate
3=Consolidate by Account and Fiscal Period
2=Consolidate by Account, Fiscal Period, and Source
GLAPPEND  Integer  Append G/L Transactions  E A  List: 2 entries
0=Create new batch
1=Append to existing batch
TFRACCT  String*45  Transfer Adjustment G/L Account  E A X  Mask: %-45C
TFRNUMBER  BCD*5.0  Next Transfer Number  E A   
CHKREF  Integer  Withdrawal G/L Reference Field  E A  List: 5 entries
1=Reference
2=Description
3=Withdrawal Number
4=Payee ID
5=Payee Name
CHKDESC  Integer  Withdrawal G/L Description Field  E A  List: 5 entries
1=Reference
2=Description
3=Withdrawal Number
4=Payee ID
5=Payee Name
DEPREF  10  Integer  Deposit G/L Reference Field  E A  List: 3 entries
1=Reference
2=Description
3=Posting - Batch - Deposit Number
DEPDESC  11  Integer  Deposit G/L Description Field  E A  List: 3 entries
1=Reference
2=Description
3=Posting - Batch - Deposit Number
OFXNOPOST  12  Boolean  Suppress Unmatched OFX Posting?  E A   
TFRACCTD  21  String*60  Transfer Adjustment G/L Account  A   

This page was generated on 2004-Oct-28

Copyright © 2000–2004 ACCPAC International, Inc. All rights reserved.