Accounts Payable > Setting Up Accounts Payable > Setting Up and Maintaining Processing Records > Adding or Modifying an Account Set

Adding or Modifying an Account Set

You use the A/P Account Sets screen to create groups of general ledger account numbers that you can use to categorize vendor transactions when they are posted in general ledger.

You must create at least one account set before you can add vendor records.

To add a new account set:

  1. Open Accounts Payable > A/P Setup >  Account Sets.

  2. On the screen that appears, enter information in the following fields:

    • Account Set Code. Type a code, up to six characters, to identify the account set.
    • Account Set Description. Type a description of the account set.
    • Currency Code. If this is a multicurrency account set, specify the currency code.

      Note: You cannot change the currency code after you add the set.

    • General Ledger Accounts. Specify the general ledger account numbers that make up the set.

      In a multicurrency account set that does not use the functional currency, you must also enter the currency code and account numbers for the exchange gain, exchange loss, and exchange rounding accounts.

  3. Click Save.

To edit an account set:

  1. Open Accounts Payable > A/P Setup >  Account Sets.

  2. Select the account set you want to change.
  3. Make your changes.

    Note: If you use multicurrency accounting, you cannot change the currency code assigned to an account set.

  4. Click Save.

To delete a terms code:

  1. Open Accounts Payable > A/P Setup >  Account Sets.

  2. Select the account set you want to delete.
  3. Click Delete.

    If a message appears asking you to confirm the deletion, click Yes.