G/L Accounts Screen

Overview

Note: Depending on how your system is set up, this desktop screen may also be available as a web screen. For more information, see the Web Screens Getting Started Guide or the help for Sage 300 web screens.

Use the G/L Accounts screen to:

Depending on the options you select, this screen can include several tabs of information about the general ledger account you are adding or displaying.

  • To see multicurrency options, you must purchase and install Sage 300 Multicurrency.
  • To use optional fields, you must purchase and activate Sage 300 Transaction Analysis and Optional Field Creator.
  • To maintain quantity and currency information for an account, you must select the options for the company in the G/L Options screen.

Allocation Tab

This tab appears when you select the Auto Allocation option on the Detail tab for an account.

Options you select on the Allocation tab determine how General Ledger distributes the balance of an account when you run Create Allocation Batch (in the G/L Periodic Processing folder).

Currency Tab

This tab is available only if the Multicurrency option is selected:

The Currency tab lets you specify which currencies are valid for the account.

Details Tab

The Detail tab appears when you open the G/L Accounts screen, and it contains the key information that every account requires.

Options you select on this tab determine whether certain other tabs appear for the account.

Optional Fields Tab

The Optional Fields tab appears only if you use Transaction Analysis and Optional Field Creator.

You can use this tab to assign an unlimited number of optional fields to the account to store additional information that your company wants to track.

Any optional fields that are set up for automatic insertion on accounts appear on the tab, along with their default values.

You can include these account fields on the report when you print the long form of your chart of accounts. You can also use these optional account fields as selection criteria when printing your chart of accounts, trial balances, transaction listings, and source journals.

Rollup Tab

This tab appears when you select the Rollup option on the Detail tab. Use it to:

Subledger Tab

This tab appears when you select the Control Account option on the Detail tab.

Use the Subledgers tab to specify which subledgers use the account as a control account.

Transaction Optional Fields Tab

The Transaction Optional Fields tab appears only if you use Transaction Analysis and Optional Field Creator.

You can use this tab to add an unlimited number of optional fields for additional information that you want to include with transactions processed for a selected account.

Transaction details that use the account will include the optional fields on this tab, whether you enter the transactions through Journal Entry, Create Allocation Batch, Create Revaluation Batch, or the Create Recurring Entries Batch screen, or you create them for General Ledger in a Sage 300 subledger. If you use exactly the same optional fields in the subleders, optional field information passes from the subledgers to General Ledger.