Account Sets Setup Form
The Account Sets form in the PJC Setup folder lets you create groups of general ledger accounts to which you post Project and Job Costing transactions.
You assign an account set to each contract to identify the general ledger accounts to which you post transactions for the contract. You must define at least one account set before you can add contracts to Project and Job Costing.
Project and Job Costing lets you add as many account sets as you need. You can use just one account set for all your contracts, or you can use separate account sets for different types of contracts or customers. If you use a multicurrency ledger, for example, you need to add at least one account set for each of your customers' currencies.