G/L Accounts - Transaction Optional Fields Tab

Sage ERP Accpac General Ledger 6.0

image\field_bt.gifG/L Accounts - Transaction Optional Fields Tab

This tab lets you add an unlimited number of optional fields for additional information that you wish to include with transactions processed for a selected account.

Transaction details that use the account will include these optional fields, whether you enter the transactions through General Ledger's Journal Entry, Create Allocation Batch, Create Revaluation Batch, or Create Recurring Entries Batch form, or you create them for General Ledger in a Sage ERP Accpac subledger.

Note: To save optional fields with posted transactions, you must select Detail as the Post To Account option on the Detail tab. The program does not keep optional field information with consolidated transactions.

For each optional transaction field that you want to assign to the account

  1. In the Optional Fields column, use the Finder to select optional transaction details fields that you have defined using the G/L Optional Fields setup form. When you choose an optional field, the program fills in the description and the default value for the optional field.

  1. If you wish to change the value for the optional field, use the Finder in the Value column to select a value.

    If the optional field is validated, you must enter a value that is defined for the field in Common Services. If the optional field accepts blanks, you can leave the value blank.

    If the optional field is not validated, you can enter any value consistent with the type of field, providing your entry does not exceed the maximum length specified for the optional field.

Later, when you use the account in a journal entry, General Ledger includes the optional transaction fields and values you assigned.

Using the Same Optional Fields for Transactions and Accounts

If you want to use the same optional fields for transactions as you use for the account, click the Replace Optional Fields button.

Providing you have set up matching optional fields for accounts and transaction details in G/L Optional Fields, the program replaces the optional fields on this tab with optional fields that match those used on the Accounts Optional Fields tab. (If an optional account field has no matching optional transaction field in G/L Optional Fields, the field is not used for transaction details.

Click the links below for information on individual tabs:

Detail

Optional Fields

Allocation

Currency

Subledger

Rollup

Click here for hints on using forms.

See also