Importante
Esta funcionalidad ya no se tiene en el sistema.
This report presents a statement with the monthly sum of average balancesof assets accounts (credits)and liability accounts (debts).
The adjustment rate, to be used in the management view to update values, is calculated through parameters. Calculation is made through rates informed during the year.
The Management View must be created before the report is issued, so that average inventory balances are grouped.
Tip: To use the rate in the management view, create a management entity of summarized type in which all amounts will be grouped. |
Example of management view:
Order | Row | Management Entity | Higher Entity | Description | Normal | Class | Initial account | Final account | Identification | Formula |
0000000010 | 001 | Credits | Credit total | Credits | Debit | S | 6 | |||
0000000020 | 001 | Cash | Credit total | Cash | Debit | A | 100 | 10002 | Addition | |
0000000030 | 001 | Banks | Credit total | Banks | Debit | A | 101 | 10102 | Addition | |
0000000040 | 001 | Customers | Credit total | Customers | Debit | A | 110 | 11009 | Addition | |
0000000060 | 001 | Anticipation suppliers | Credit total | Anticipation suppliers | Debit | A | 121 | 12100 | Addition | |
0000000070 | 001 | Other debtors | Credit total | Other debtors | Debit | A | 120 | 12002 | Addition | |
0000000080 | 001 | Taxes to be reimbursed | Credit total | Taxes to be reimbursed | Debit | A | 131 | 13101 | Addition | |
0000000090 | 001 | Credit total | Difference | Credit total | Debit | S | Grand total | |||
0000000100 | 001 | Debts | Debt total | Debts | Credit | S | 6 | |||
0000000110 | 001 | Suppliers | Debt total | Suppliers | Credit | A | 210 | 21101 | Addition | |
0000000120 | 001 | Other debtors | Debt total | Other debtors | Credit | A | 220 | 22201 | Addition | |
0000000130 | 001 | Debt total | Difference | Debt total | Credit | S | Grand total | |||
0000000160 | 001 | Difference | Adjustment | Difference | Debit | S | Grand total | |||
0000000180 | 001 | Adjustment | Adjustment | Debit | S | Addition | Rotina=MV_PAR07 |
Procedures
Enter function "ROTINA=MV_PAR07" in field Formula so that values are grouped.
Issuing the report Annual Adjustment for Inflation:
1. In the report issue window, click Parameters.
A screen is displayed with report parameters to be configured.
2. Configure them according to field help instructions.
3. Check configurations and confirm the report print.
See Also