Specifies the code of the bank clearing standard that you choose in the Bank Clearing Standard field on a company, customer, or vendor bank account card.
Specifies the code linked to entries posted after being transferred from a bank reconciliation by the Trans. Bank Rec. to ...
Specifies the code linked to entries that are posted in connection with purchases, such as orders, invoices, and credit memos. ...
Specifies the code linked to entries that are posted in connection with sales, such as orders, invoices, and credit memos. ...
Specifies the code linked to entries that are posted when you change the additional reporting currency in the General Ledger ...
Specifies the code of the bank clearing standard that you choose in the Bank Clearing Standard field on a company, customer, ...
Specifies the code of the bin where assembly components must be placed prior to assembly and from where they are posted as ...
Specifies the code of the counting period that indicates how often you want to count the item or stockkeeping unit in a physical ...
Specifies the code of the depreciation table to use if you have selected the User-Defined option in the Depreciation Method ...
Specifies the code of the document template that you want the OCR service provider to use when they convert the incoming-document ...