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Accounts Production Advanced
Accounts
Check that codes are assigned to your FRS 102 client in Accounts Production Advanced
Accounts
Check that codes are assigned to your FRS 102 client in Accounts Production Advanced
Select the
Import/Account Assignment
tab, then
Account Assignment (Master) Maintenance
.
Codes displayed in the new window are currently unassigned. To assign, drag and drop each code to the appropriate folder.
note
Drop each code directly over the name of the folder, not the list of codes within the folder.
Select
Apply
when you have finished assigning all codes.
Select
Company Structure
, then
Changes in Equity
.
Repeat step 2.
Select
Apply
to save changes.
Repeat steps 2 and 3 for the following Category Structure items:
Format 1
and
Format 2
— this is where all expenses codes should be assigned.
iXBRL Detailed Profit and Loss Format 1
and
iXBRL Detailed Profit and Loss Format 2
— this is where all profit and loss codes should be assigned.
Select
OK
once you have all codes assigned.
This article applies to:
Product:
Digita Accounts Production Advanced
Subject:
Reports, Setup
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