Maintain Bank Master |
The Maintain Bank Master routine allows the user to enter and maintain Bank
Account information. For each General Ledger Account, the user must specify the
corresponding Bank Account (i.e. transactions affecting General Ledger Accounts are
reflections of transactions affecting the actual Bank Account). For example, when the user
posts a transaction in E-Quinox that debits a specified GL Account, the corresponding Bank
Account will also be debited when the transaction is processed. The Bank
Reconciliation routine is used to ensure that the transactions that occur
within GL Accounts and within Bank Accounts match up. Note: Care should be used when
making changes to the information in this routine, as the entire General Ledger and
banking system will be affected. When the Maintain Bank Master routine is accessed from the E-Quinox main menu, the screen shown below will be displayed. |
Field Definition |
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GL Account The name and number of the General Ledger Account for the current record. A selection may be made from the List of Values provided. To view details for a specific General Ledger Account, the user can execute a query based on that account number. To view details for all General Ledger Accounts that have been set up through this routine, the user can simply execute a query when they enter the form (i.e. F7, F8).
Bank Account
No,
Name Type |
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Note: The information displayed in the following two sections is specific to the
record selected in the first section.
Acct
Currency |
Bank Prefix Cheque Number Printer Tray |
Bank Address The name and address information for the Bank in which the current Bank Account resides. |
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Once the user has finished entering or updating information, they must click the Save button or press F10 to commit the changes to the database. |