Difference between revisions of "How do I apply a nominal group to a nominal centre?"

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== Summary ==
 
== Summary ==
There may be instances where you will need to group certain nominal codes together to allow several Nominal codes to be totaled e.g for composite reporting. This is a 2 part process and this article explains the second step - applying the group to the required centre. See [[How do I Create a Nominal Group?|Here]] for Step 1.
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This article explains how to group {{NL}} 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 [[How do I create a nominal group?|here]] for the first step.
  
 
== More Information ==
 
== More Information ==
Go to {{Menu|Systems\Accounts|Nominal Ledger|Maintenance Options|Centre Maintenance|Insert/Amend/Delete Centres|}}..
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Go to {{Menu|{{NL}}|Maintenance Options|Centre Maintenance|Add or Edit Nominal Centres}}.
*Select the required nominal code using the search.
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* Select the required nominal centre using the search, and click {{Button|Edit}}.
*In the details of the centre on the {{DataValue|Group}} field enter the previously created group here.
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* On the {{DataPrompt|Group}} and/or {{DataPrompt|Division Code}} field use the drop down menu to select a code.
{{Example|title=E.G.|text='''PT''' for '''Parts'''}}  
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* Press {{Button|Esc}} and {{Button|Accept}} to save the changes.
*Press {{Button|Esc}} and {{Button|Accept}} to save the created centre.
 
  
 
== See also ==
 
== See also ==
* [[How do I Create a Nominal Group?]]
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* [[What is a nominal code?]]
* [[Suzuki Composite Information]]
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* [[How do I create a nominal group?]]
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{{KB_Tags|nominal, group, create, apply, division, division code}}
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{{How}}{{KB_NL}}{{ZN_Accounts}}
  
{{KB_Tags|Nominal, group, create, apply}} 
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{{KB_Ref|GR53}}
{{KB_NL}} {{ZN_Accounts}}
 

Latest revision as of 05:32, 19 June 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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Keywords AND Misspellings
nominal, group, create, apply, division, division code
Tags

GR53