Set up the customer's own identification of items that you sell to the customer. Cross-references to the customer's item number means that the item number is automatically shown on sales documents instead of the number that you use.
Set up streams in social center link contains the help for creating streams and keeping track of live data streams in social ...
Set up templates for the journals that you use for bookkeeping tasks. Templates allow you to work in a journal window that ...
Set up the accounts to which transactions are posted for fixed assets for each posting group, so that you can assign them ...
Set up the country/regions where your different business partners are located, so that you can assign Country/Region codes ...
Set up the customer's own identification of items that you sell to the customer. Cross-references to the customer's item ...
Set up the database users and assign their permission sets to define which database objects, and thereby which UI elements, ...
Set up the different currencies that you trade in by defining which general ledger accounts the involved transactions are ...
Set up the FA general ledger journal, the FA journal, and the insurance journal templates and batches to use when duplicating ...
Set up the finance charge terms that you select from on customer cards to define how to calculate interest in case the customer's ...