IdealWare Online Users ManualAP5-07 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 Currency Code Listing follows.
IDEAL BUILDING SUPPLIES LTD. 07/25/96 16:13:25 PAGE: 1 CURRENCY CODE LISTING ---------------------------------------------------------------------------------------------------------------- A/P BANK A/P EXCHNG EXCHNG BANK GST ACCRUAL ACCRUAL CODE DESCRIPTION CONTROL ACCOUNT DISCOUNT RATE ACCOUNT DATE CODE DEDUCT CONTROL VARIANCE ---------------------------------------------------------------------------------------------------------------- CN CANADIAN FUNDS 012000 011000 015010 1.0000 015100 03/23/93 015300 012100 015500 US U.S. FUNDS 012000 011000 015010 1.3500 015100 05/16/90 015300 012100 015500 RECORDS PRINTED: 2 FIELDS: CODE currency code DESCRIPTION description A/P CONTROL A/P control account BANK ACCOUNT bank account A/P DISCOUNT A/P discount account EXCHNG RATE exchange rate (base currency is 1.0) ACCOUNT account EXCHNG DATE exchange date (last date rate determined) BANK CODE bank code where the account is located GST DEDUCT GST deduction account ACCRUAL CONTROL accrual control account ACCRUAL VARIANCE accrual variance account