Product |
: | Microsiga Protheus | ||||||
VersõesVersions: | A partir da From version 11.80 | ||||||
Ocorrência: | Facilitador para cadastro de Moedas e Calendários Contábeis Facilitador para cadastro de Moedas e Calendários Contábeis | ||||||
Occurrence: | Facilitator for Registering Accounting Currencies and Calendars | ||||||
Step by step | Passo a passo: | 1. | No módulo Contabilidade Gerencial In the Managerial Accounting (SIGACTB) | acesse Atualizações / Cadastros / Calendário Contábil module, navigate to Updates / Register / Accounting Calendar (CTBA010) | . O sistema apresenta a janela de calendários. The system displays the calendar window. 2. | Pressione a tecla Press the <F12> | . O Sistema exibe a tela de parâmetros, no campo Tipo de Interface selecione Assistente e confirme.key. The system will display a parameters screen. In the Interface Type Field, select Wizard and confirm. 3. Click Add A screen is displayed with the routine's objective. Click Next. 4. Enter the start and end dates for the accounting calendar and click Next. 5. Select the period type and click Next. 6. Check the periods displayed and click Next. 7. Enter calendar and fiscal year. To create new currencies and bind them to the calendar, select the items desired. Click Finish. 8. A screen is displayed for the addition of currencies. Enter the confirm the data. The System displays the currencies binding wizard with the calendar included. 9. Access Updates / Register / Currency x Calendar (CTBA200) and press the <F12> key. 10. The system will display the parameters screen. In the Interface Type Field, select Wizard and confirm. 11. Click Next The system displays a screen containing the tree structures for the calendar, currencies, currency x calendar links, and the currency exchange rates per date 12. To view all registration data, position the cursor on a tree item or within the exchange rate list and right click. |