Chart of Accounts Record Window
        The Chart of Accounts Record window allows you to add 
 or modify information about individual accounts: create sub-accounts, merge accounts, 
 change the name or number of an account, or rearrange the account order as it appears in your Chart of Accounts.
        Use these tabs to make your changes:
        
Account tab
        
        
        
Class Options tab 
 (Subgroup and Group accounts)
        
            This tab allows you to change the class 
 for the account. If the Account Class is 
 Cash, Bank or 
 Credit Card (Receivable or Payable), you 
 can enter some or all of the following information about the account:
            
                - Institution. 
 The name of your banking institution.
 
                - Branch 
 Name. The name or number of the branch at which you hold the account.
 
                - Transit Number. A code that identifies the specific bank with which the 
 account is associated, which is also known as a routing number. It is provided by your bank. 
 
                - Account 
 Number. The bank account number.
 
                - Currency. 
 The currency in which the account's funds are held by the bank. You must 
 set up foreign currencies 
 before you can choose a currency other than your home currency. Once an 
 account is used in a transaction, the currency cannot be changed.
 
                - Account 
 Type. Identifies the type of bank account - Chequing, Savings, or Other.
 
                - Next 
 Deposit Number. Determines the Deposit Slip Number used when you 
 next perform a deposit for this 
 account. This number increases serially unless you change it manually.
 
                - Home 
 Page. The address of the bank's home page.
 
                - Online 
 Banking Login. The address of the bank's login page for the account.
 
            
            What do you want to do on this tab?
            Change this 
 account's class
            
            Create 
 a new bank account
            
            Add 
 a foreign currency bank account
            
            Use 
 this account for online banking
            
            Change 
 the next cheque number for this account
            
         
        
Additional Information tab
        
        
        
Reconciliation and Deposits tab 
 (Subgroup and Group accounts)
        
        
Related Historical Accounts tab 
 (Subgroup and Group accounts)
        
            This tab controls links to account information 
 from previous years. The accounts listed in the table are the ones used 
 when reporting on this account's information from previous years. This 
 table is updated whenever you move into a new fiscal year.
            If you have removed an account and replaced 
 it with another one, you can link the old account information to the new 
 account, so that the historical financial information is not lost in your 
 reports.
            Note: You can only 
 use accounts from the same account group in this table (for example, assets)
            What do you want to do on this tab?
            Add or 
 change a related historical account for this account
            
         
        
Departments tab 
 (Subgroup and Group accounts)  (Premium)
        
        
Budget tab 
 (Revenue and Expense Subgroup and Group accounts)
        
            You must have the account budget 
 feature turned 
 on to use this tab. If the account belongs to the expense or revenue 
 account group, this tab is displayed, and you can set up your budget amounts 
 by selecting Budget this account.
            Total budgeted amount. 
 This box contains the budget for the account for your company's entire 
 fiscal year.
            The budget period boxes contain allocated amounts 
 for the budget periods you selected when you turned on the budget feature 
 (for example, they  would 
 be months if you were using a 12-period budget).
            Allocate to period. 
 This button automatically distributes the Total 
 budgeted amount evenly across all of the budget periods.
            Departmental Budgets  (Premium)
            Requires that you turn 
 on the Departments 
 feature.
            In addition to the above options, you can distribute 
 budget period amounts across any of the departments listed.
            Allocate to Department. 
 This button is used with Allocate to period 
 to distribute each period amount equally across all of the departments 
 listed.
            What do you want to do on this tab?
            Set up 
 a budget for this account
            
         
        
Balance tab 
 (Foreign Currency Accounts Receivable or Payable)
        
            If your company does not have a foreign currency 
 set up, this tab is not available. 
            This tab shows you the transaction total for 
 the account in each of the currencies you have set up for your company. 
 The total for foreign currencies is shown in both the Foreign 
 Amount and the CAD Amount. 
 The home currency totals for foreign currencies are based on the exchange 
 rates at the time the transactions were recorded.
            Beneath the table, you can see the account total 
 in your home currency.
         
        
Notes tab
             (Premium)
        
        
            Use this tab to add reporting notes 
 to accounts. You can include these notes on your financial statements.
            What do you want to do on this tab?
            Add 
 a note to this account
            
         
        What do you want to do?
        Add or remove an account
        
        Make 
 an account inactive (Subgroup and Group accounts)
        Open 
 a Chart of Accounts report
        
        Change 
 an account's number