Manage Accounts Payable Accounts
Use this screen to establish valid Accounts Payable account, organization, reference 1, and reference 2 numbers.
Each unique combination is given a description that you can use instead of the Account/Organization/ Reference 1/Reference 2 combination, thus speeding data entry. This also allows you to prevent vouchers from being credited to accounts other than those specified for the accrual of vouchers.
The Accounts Payable account/organization/reference 1/reference 2 combinations set up on this screen are used when setting up vendors (to default into vouchers), entering vouchers, posting vouchers, and selecting vouchers for payment. You can set up a combination to default into the Vendor tables automatically by entering a valid Accounts Payable account description on the Configure Vendor Settings screen. This is useful if you have only one A/P account description.
Initialize this screen after setting up the Configure Accounts Payable Settings screen and maintain it when you add new Accounts Payable accounts.
- Related Topics:
- Display the Manage Accounts Payable Accounts Screen
You access the Manage Accounts Payable Accounts screen from the Accounting domain. - Contents of the Manage Accounts Payable Accounts Screen
Use the fields and options to configure the Manage Accounts Payable Accounts screen. - Table Information for the Manage Accounts Payable Accounts Screen
Changes to the Manage Accounts Payable Accounts screen update the DFLT_AP_ACCTS table.