Difference between revisions of "How do I apply a nominal group to a nominal centre?"
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Revision as of 11:27, 17 April 2019
Summary
This article explains how to group Nominal Ledger codes to allow totals to be gathered, e.g. for composite reporting. This is a 2 step process and this article explains the second step - applying the group or division code to the required centre. See here for the first step.
More Information
Go to " Nominal Ledger Maintenance Options Centre Maintenance Add or Edit Nominal Centres".
- Select the required nominal centre using the search, and click [Edit].
- On the "Group" and/or "Division Code" field use the drop down menu to select a code.
- Press [Esc] and [Accept] to save the changes.
See also
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Tags
GR53