Ideal Online Documentation24767 A/P LISTINGS, REPORTS AND FORMS |
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│08/14/07 ***** PRINTER SELECTION ***** │ │ │ │ │ │** MAKE SURE PRINTER IS READY BEFORE PRESSING CR ..... │ │ │ │1. PRINTER NAME ................................. P1 OKIDATA 390 │ │ │ │2. CHARACTERS PER INCH ? (10,12,17) ............. 10 │ │ SINGLE OR DOUBLE DENSITY ? (S,D) ............. S SINGLE DENSITY │ │ │ │** PRESS CR TO SET PRINTER, OPTION# TO CHANGE, F4 TO END (BYPASS): _ │ │ │ └────────────────────────────────────────────────────────────────────────────────┘ |
"1" to change printers.
"2" to change the CPI and/or print density.
[Enter] to print.
[F4] to not print and exit to the menu.
[F5] to display a list of printers for selection.
An example Accounts Payable Supplier History Report follows.
IDEAL BUILDING SUPPLIES LTD. 08/06/96 11:36:22 PAGE: 1 A/P SUPPLIER HISTORY REPORT -------------------------------------------------------------------------------------------------------------------------- SUPPLIER SUPPLIER FOL#/ $ SOURCE CODE NAME CHQ# TYP BATCH DATE REFERENCE DEBIT CREDIT -------------------------------------------------------------------------------------------------------------------------- GARBU GARIBALDI BUILDING 000000 CN 419 01/15/93 CHEQUE 14606 1,602.28 DISCOUNT TAKEN 22.48 000000 CN 575 01/27/93 239498 2,065.53 000000 CN 434 02/15/93 CHEQUE 14830 2,036.87 DISCOUNT TAKEN 28.66 000000 CN 602 03/18/93 263528 107.00 000000 CN 461 04/15/93 CHEQUE 15303 105.80 DISCOUNT TAKEN 1.20 000155 CN PI0019 04/12/93 263555 2,936.80 DISCOUNT TAKEN 40.79 000461 CN PI0020 04/14/93 263626 2,261.59 DISCOUNT TAKEN 31.41 000462 CN PI0020 04/30/93 16816 214.81 DISCOUNT TAKEN 3.02 000463 CN PI0020 04/26/93 263634 144.15 DISCOUNT TAKEN 1.73 000464 CN PI0020 04/26/93 263633 1,057.11 DISCOUNT TAKEN 14.52 AP0109 CN PC0003 05/15/93 A/P AUTOMATIC CHEQUE 6,099.41 001334 CN PI0042 06/01/93 2003470 317.46 DISCOUNT TAKEN 5.56 GENPA GENERAL PAINT & 000000 CN 528 11/16/92 10136843 42.37 000000 CN 409 12/18/92 CHEQUE 14454 42.37 000000 CN 409 12/18/92 CHEQUE 14454 42.37 000000 CN 532 11/14/92 0176256 42.37 000000 CN 421 01/19/93 CHEQUE 14684 203.45 000000 CN 421 01/19/93 CHEQUE 14684 125.37 000000 CN 421 01/19/93 CHEQUE 14684 59.37 000000 CN 546 12/15/92 01120649 203.45 000000 CN 555 12/10/92 10138001 125.37 000000 CN 551 12/11/92 53130235 59.37 000000 CN 589 02/11/93 16203856 162.53 000000 CN 453 03/18/93 CHEQUE 15138 162.53 000301 CN PI0019 04/28/93 14199570 60.99 AP0110 CN PC0003 05/15/93 A/P AUTOMATIC CHEQUE 60.99 MADCD MADISON'S CDNLBR. 000000 CN 409 12/18/92 CHEQUE 14471 105.17 000000 CN 527 11/17/92 29485 105.17 003525 CN PI0101 08/31/93 30600 176.55 AP1158 CN PC0029 09/20/93 A/P AUTOMATIC CHEQUE 176.55 012236 CN PI0350 08/31/94 31963 187.25 AP4171 CN PC0093 09/10/94 A/P AUTOMATIC CHEQUE 187.25 TARCO TARGET CONCRETE PRODUCTS AP0711 CN PC0015 07/20/93 A/P AUTOMATIC CHEQUE 4,551.73 002555 CN PI0076 07/20/93 01-55697 340.26 002556 CN PI0076 07/30/93 01-56202 423.72 002732 CN PI0078 07/23/93 01-55830 1,347.69 002885 CN PI0082 07/05/93 01-54874 1,545.51 002886 CN PI0082 07/19/93 01-55434 1,516.15 WALAB WALTER ABSIL CO LTD 007100 CN PI0196 02/02/94 91707 872.97 AP2633 CN PC0054 03/20/94 A/P AUTOMATIC CHEQUE 872.97 008096 CN PI0220 03/02/94 92296 955.49 AP2728 CN PC0055 03/31/94 A/P AUTOMATIC CHEQUE 955.49 010847 CN PI0301 06/23/94 94914 1,728.91 AP3793 CN PC0076 07/20/94 A/P AUTOMATIC CHEQUE 1,728.91 FIELDS: SUPPLIER CODE supplier code SUPPLIER NAME supplier name FOL#/CHQ# folio number / cheque number $ TYP currency code SOURCE BATCH source batch DATE date of invoice or cheque REFERENCE reference DEBIT debit amount CREDIT credit amount