Difference between revisions of "How do I create a nominal code?"
From Catalyst
(→Summary) |
|||
Line 1: | Line 1: | ||
== Summary == | == Summary == | ||
− | The following article explains how to set-up a new | + | The following article explains how to set-up a new {{NL}} Centre. |
== More Information == | == More Information == |
Revision as of 10:06, 13 August 2013
Summary
The following article explains how to set-up a new Nominal Ledger Centre.
More Information
Get into " Accounts\Systems Nominal Ledger Maintenance Options Centre Maintenance Insert/Amend/Delete Centres".
- First of all, perform a search to check that the code you wish to create does not already exist.
- Locate a suitable section within your Nominal Structure for your new code.
- Click [Add].
- In the Code Box, type in the new Nominal Code you require and press <Enter>
- Type in a suitable description.
- Choose whether the code is a Balance Sheet or Profit & Loss Centre and indicate the relevant flag as necessary.
- If this centre is to be reconciled (e.g., it's a bank account or any other centre that needs to be reconciled through the Bank Reconciliation) then place a tick in the "Reconciled?" box.
- Choose [Done] and [Accept].
See Also
- Getting Started
- Getting Started - Accounts
- How do I Create a Sales or Purchase Centre?
- How do I Print a List of Purchase Centres?
- How do I Print a List of Sales Centres?
- How do I Print a List of Nominal Centres?
- What is a Nominal Code?
Thank you for using our Knowledge Base, we value your feedback. Did you find this article useful? 'Yes' or 'No'
Tags
GR53