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Trade back window-postings tab

Trade back window-postings tab

作者: 秦艳超 | 来源:发表于2019-02-15 22:56 被阅读0次

    This tab displays any accounting posting associated with a trade.You can narrow down the postings by selecting a range of Posting dates or Value dates.

    The spreadsheet contains the flowing information for each posting:

    Posting Date

    The date of the posting

    Booking Date

    The date when the trade was booked

    Value Date

    The valuation date of the trade

    GL Date

    The date of the trade in the General Ledger

    Account ID

    Identifies the account name or number

    External Account ID

    Provides the mapping from the system account to the external general ledger system account ID.

    Account Type

    Indicates the type of account
    Choices are :

    • Actual - The account is an actual account and does not require any translations
    • Note:The Tokens button displays the Token List window used to define the tokens that derive an actual account ID from a generic account.These values are saved to the database when generic account is saved.
    • Generic
    • Cash Account - The account is a cash account
    • ControlAccount - The account can be used to net

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