索引
- &BUDGET relative heading(&BUDGET 相关标题)
- &CURRENCY relative heading(&CURRENCY 相关标题)
- &DOI relative heading(&DOI 相关标题)
- &ENCUMBRANCE relative heading(&ENCUMBRANCE 相关标题)
- &POI relative heading(&POI 相关标题)
- Account Assignments window [2](帐户指定窗口[2])
- Account balances(帐户余额)
- Archiving(存档)
- Purging archived data(清除存档数据)
- Account Hierarchy Editor, Planning parent values and rollup groups(帐户分层结构编辑器、编制父值和累计组)
- Account inquiry(帐户查询)
- Drilling down to journal detail(细查日记帐明细)
- Drilling down to Payables detail(细查应付款明细)
- Drilling down to Receivables detail(细查应收款明细)
- Performing(执行)
- Performing a detail account inquiry(执行明细帐户查询)
- Performing a summary account inquiry(执行汇总帐户查询)
- Viewing variances(查看差异)
- Account Inquiry window(帐户查询窗口)
- Account ranges(帐户范围)
- Budgetary control options(预算控制选项)
- Freezing budgets for(冻结预算)
- Account Ranges window [2](帐户范围窗口 [2])
- Account Rules window(帐户规则窗口)
- Accounting cycle(会计周期)
- Accounting Flexfield(会计弹性域)
- Child values(子值)
- Defining account structure(定义帐户结构)
- Defining dependent segments(定义相关段)
- Defining segment qualifiers(定义段限定词)
- Defining the balancing segment(定义余额段)
- Defining the cost center segment(定义成本中心段)
- Designing(设计)
- Designing account segments(设计帐户段)
- Determining your account needs(确定帐户需要)
- Entering segment qualifiers(输入段限定词)
- Major features(主要功能)
- Natural account segment(自然帐户段)
- Parent values(父值)
- Qualifiers(限定词)
- Rollup groups(累计组)
- Special instructions(特殊说明)
- Value hierarchies [2](值分层结构 [2])
- Accounting Flexfields(会计弹性域)
- Accounts(帐户)
- Assigning to a budget organization(指定至预算组织)
- Correcting misclassified account types(更正错误分类的帐户类型)
- Defining(定义)
- Defining intercompany accounts(定义公司间往来帐户)
- Defining statistical accounts(定义统计帐户)
- Defining summary accounts(定义汇总帐户)
- Defining suspense accounts(定义暂记帐户)
- Disabling(禁用)
- Ad hoc reports(即席报表)
- Defining(定义)
- Deleting(删除)
- Running(运行)
- Allocation method(分配方法)
- Choosing(选择)
- Full allocation(完全分配)
- Full allocation method(完全分配方法)
- Incremental allocation(递增分配)
- Incremental allocation method(递增分配方法)
- MassBudgets(成批预算)
- Allocations(分配)
- Creating entries(创建分录)
- Creating net allocations(创建净分配)
- Creating rate-based allocations(创建基于汇率的分配)
- Creating step-down allocations(创建阶梯分配)
- Creating usage-based allocations(创建基于惯例的分配)
- Creating using Recurring Journal formulas(创建使用经常性日记帐公式)
- Using for standard costing(使用标准成本计算)
- Amount types(金额类型)
- Approval hierarchy, Creating(审批分层结构,创建)
- Approving journal batches(审批日记帐批)
- Archive(存档)
- Account balances and journal detail(帐户余额和日记帐明细)
- Creating a tablespace for data(创建数据表空间)
- Exporting archived data(导出存档数据)
- Archive and Purge window [2](存档并清除窗口 [2])
- Attachments, Using(附件,使用)
- Authorization limits, Defining(权限,定义)
- AutoCopy Budget Organization window(自动复制预算组织窗口)
- AutoCopy window(自动复制窗口)
- Automatic offsetting line(自动抵销行)
- AutoPost(自动过帐)
- Defining criteria sets(定义标准集)
- Running(运行)
- AutoPost Criteria Sets window(自动过帐标准集窗口)
- Average balance inquiry(平均余额查询)
- Detail balances(明细余额)
- Performing(执行)
- Summary balances(汇总余额)
- Average Balance Inquiry window(平均余额查询窗口)
- Average balance processing(平均余额处理)
- Accounting date validation(会计日期验证)
- Adjusting periods ignored(调整忽略的期间)
- Archiving and purging average balances(存档并清除平均余额
)
- Average Balance Trial Balance report(平均余额试算表报表)
- Average Consolidation journal source(平均合并日记帐来源)
- Consolidation journal entries(合并日记帐分录)
- Consolidation set of books(合并帐套)
- Defining daily rates [2](定义每日汇率 [2])
- Defining reverse journal entries(定义冲销日记帐分录)
- Defining transaction calendars(定义事务处理日历)
- Effective date rule for journal sources(日记帐来源的有效日期规则)
- Enabling for a set of books [2](启用帐套 [2])
- Entering historical rates(输入历史汇率)
- Entering journals in a consolidation set of books(输入合并帐套中的日记帐
)
- Generating eliminating journals(生成抵销日记帐)
- Generating MassAllocation journals(生成成批分配日记帐)
- Generating recurring journal batches(生成经常性日记帐批)
- Global Consolidation System(全球合并系统)
- Mapping subsidiaries to your parent(将子帐套映射至父帐套)
- Net income account(净收入帐户)
- Non-consolidation set of books(非合并帐套)
- Notes on consolidating average balances(合并平均余额附注
)
- Notes on translating average balances(折算平均余额附注)
- Overview(概览)
- Performing inquiries(执行查询)
- Posting not allowed for net income account(净收入帐户不允许过帐)
- Reporting with FSG(使用 FSG 报告)
- Revaluing balances(重估余额)
- Reversal effective date(冲销有效日期)
- Transaction grouping in Journal Import(在日记帐导入中分组的事务处理
)
- Translating balances(折算余额)
- Average balance processing setup(平均余额处理设置)
- Assigning a transaction calendar(指定事务处理日历)
- Defining a net income account(定义净收入帐户)
- Defining a transaction calendar(定义事务处理日历)
- Defining transaction calendars(定义事务处理日历)
- Defining valid business days(定义有效业务日)
- Enabling average balance processing(启用平均余额处理)
- Set of books options(帐套选项)
- Specifying an effective date rules for journal sources(指定日记帐来源的有效日期规则)
- Average balances(平均余额)
- Archiving and purging(存档并清除)
- Consolidating with balances method(合并余额方法)
- Consolidating with transactions method(合并事务处理方法)
- Consolidation journal entries(合并日记帐分录)
- Notes on consolidating(合并附注)
- Notes on translating(折算附注)
- Performing inquiries(执行查询)
- Reporting on with FSG(使用 FSG 报告)
- Revaluing(重估)
- Translating(折算)
- Using in MassAllocation formula lines(在成批分配公式行中使用)
- Using in recurring journal formulas(在经常性日记帐公式中使用)
- Balancing segment [2](余额段 [2])
- Batch window [2] [3] [4] [5] [6](批窗口 [2] [3] [4] [5] [6])
- Budget amounts(预算额)
- Calculating(计算)
- Distributing with budget rules(使用预算规则分配)
- Entering(输入)
- Entering for multiple accounts(输入多帐户)
- Entering statistical budgets(输入统计预算数)
- Transferring(转帐)
- Budget Balances window [2](预算余额窗口 [2])
- Budget formula entries(预算公式分录)
- Calculating amounts(计算金额)
- Changing(更改)
- Copying(复制)
- Creating(创建)
- Creating budget formula batches(创建预算公式批)
- Entering lines(输入行)
- Freezing a formula batch(冻结公式批)
- Budget inquiry(预算查询)
- Master/Detail budgets(主/明细预算)
- Performing(执行)
- Performing a detail budget inquiry(执行明细预算查询)
- Performing a master budget inquiry(执行主预算查询)
- Reviewing detail account balances(复核明细帐户余额)
- Reviewing journal detail(复核日记帐明细)
- Budget Inquiry window(预算查询窗口)
- Budget Interface table(预算接口表)
- Loading data into(将数据装入)
- Understanding(了解)
- Budget journals(预算日记帐)
- Budget Journals window(预算日记帐窗口)
- Budget organizations(预算组织)
- Adding individual accounts(添加单个帐户)
- Assigning account ranges(指定帐户范围)
- Changing(更改)
- Changing individual accounts(更改单个帐户)
- Copying account ranges(复制帐户范围)
- Defining(定义)
- Deleting(删除)
- Freezing [2](冻结 [2])
- Protecting with a password(口令保护)
- Setting budgetary control options [2](设置预算控制选项 [2])
- Budget rules(预算规则)
- Budget Rules window(预算规则窗口)
- Budget Spreadsheet Upload Execution Report(预算电子表格加载执行报表)
- Budget transfer amounts, Entering(预算转帐金额,输入)
- Budget Transfer window [2](预算转帐窗口 [2])
- Budget upload(预算加载)
- About(关于)
- Correcting errors(更正差错)
- Creating a budget spreadsheet(创建预算电子表格)
- Loading data into the Budget Interface table(将数据装入预算接口表)
- Running(运行)
- Uploading to undefined accounts(加载至未定义帐户)
- Validation(验证)
- Budgetary control(预算控制)
- Changing a budget(更改预算)
- Changing Amount Type and Boundary(更改金额类型和界限)
- Changing budget amounts(更改预算额)
- Changing Funds Check Level(更改资金检查级别)
- Changing options for a budget organization(更改预算组织选项)
- Changing options for a summary template(更改汇总模板选项)
- Checking funds for a journal batch(检查日记帐批的资金)
- Creating a budgetary control group(创建预算控制组)
- Detail [2](明细 [2])
- Dynamic insertion with(动态插入)
- Enabling and disabling(启用和禁用)
- Enabling for a set of books(启用帐套)
- Funds Available Analysis report(可用资金分析报表)
- Latest Encumbrance Year(最近保留年度)
- Multiple currency transactions and(多币种事务处理和)
- Printing a transactions report(打印事务处理报表)
- Reports(报表)
- Reserving funds for a journal batch(准备日记帐批的资金)
- Reviewing transaction detail(复核事务处理明细)
- Reviewing transactions(复核事务处理)
- Running the Create Journals program(运行创建日记帐程序)
- Running the Mass Funds Check/Reservation program(运行成批资金检查/保留程序)
- Setting Amount Type and Boundary(设置金额类型和界限)
- Setting budgetary control group options [2](设置预算控制组选项 [2])
- Setting Funds Check Level(设置资金检查级别)
- Setting options(设置选项)
- Setting options for an account range [2](设置帐户范围的选项 [2])
- Setting Override Amount(设置改写金额)
- Setting summary account options(设置汇总帐户选项)
- Setting tolerances(设置容限)
- Setting up(设置)
- Summary [2](汇总 [2])
- Transferring budget amounts(传送预算额)
- Using detail level(使用明细层)
- Using summary level(使用汇总层)
- Viewing funds available(查看可用资金)
- Budgetary Control Group window [2](预算控制组窗口 [2])
- Budgeting methods(预算方法)
- Budgets(预算)
- Assigning budget periods(指定预算期间)
- Assigning to a financial report(指定至财务报表)
- Budget formulas(预算公式)
- Budget organizations(预算组织)
- Budgeting methods(预算方法)
- Calculating amounts(计算金额)
- Copying(复制)
- Defining(定义)
- Entering amounts(输入金额)
- Entering journals(输入日记帐)
- Freezing(冻结)
- Master/Detail(主/明细)
- Opening a budget year(打开预算年度)
- Overview(概览)
- Performing a budget inquiry(执行预算查询)
- Transferring amounts(转帐金额)
- Uploading(加载)
- Uploading from a spreadsheet(从电子表格加载)
- Using budget rules(使用预算规则)
- Calculate Budget Amounts window(计算预算额窗口)
- Calculations window(计算窗口)
- Calendar window [2](日历窗口) [2]
- Calendars(日历)
- Adding periods(添加期间)
- Assigning to a set of books(指定至帐套)
- Changing(更改)
- Defining(定义)
- Carry Forward rules(结转规则)
- Encumbrances and Encumbered Budget(保留数和保留预算)
- Encumbrances Only(仅限于保留)
- Funds Available(可用资金)
- CENTRA
- Centralized Transaction Approval (CENTRA) [2](集中事务处理审批 (CENTRA) [2])
- Change Currency window(更改币种窗口)
- Chart of accounts(科目表)
- Defining(定义)
- Defining descriptive flexfields(定义说明性弹性域)
- Code combination ID specification, GL_INTERFACE table(代码组合标识说明,GL_INTERFACE 表)
- Column Set Builder(栏集生成器)
- Column Set Builder window(栏集生成器窗口)
- Column Set window [2](栏集窗口 [2])
- Column sets(栏集)
- Advanced options(高级选项)
- Amount types(金额类型)
- Assigning accounts(指定帐户)
- Balance control options(余额控制选项)
- Copying(复制)
- Creating column headings(创建栏标题)
- Defining(定义)
- Defining calculations(定义计算)
- Defining column exceptions(定义栏例外信息)
- Display options(显示选项)
- Exceptions(例外信息)
- Format masks(格式屏蔽)
- Relative headings(相关标题)
- Row and column overrides(行和栏改写值)
- Standard(标准)
- Using the column set builder(使用栏集生成器)
- Columns window [2] [3](栏窗口 [2] [3])
- Concurrent Program Controls window(并发程序控制窗口)
- Consolidated balance inquiry(合并余额查询)
- Consolidation Drilldown window(合并细查窗口)
- Consolidation Hierarchy Viewer(合并分层结构浏览器)
- Consolidation Mapping Sets window(合并映射集窗口)
- Consolidation Mappings window(合并映射窗口)
- Consolidation Workbench(合并工作台)
- Consolidation Workbench window(合并工作台窗口)
- Consolidations(合并)
- Combining parent and subsidiary data(合并父帐套和子帐套数据)
- Consolidating balances(合并余额)
- Consolidating transactions(合并事务处理)
- Consolidation methods(合并方法)
- Consolidation Workbench(合并工作台)
- Creating automatic eliminating entries(创建自动抵销分录)
- Creating eliminating entries(创建抵销分录)
- Creating mapping sets(创建映射集)
- Entering mapping rules(输入映射规则)
- Inquiry, reporting, and analysis(查询、报告和分析)
- Mapping subsidiaries to your parent(将子帐套映射至父帐套)
- Preparing subsidiary data(编制子帐套数据)
- Purging audit data(清除审计数据)
- Rollup rules(累计规则)
- Run options(运行选项)
- Transferring consolidation sets(传送合并集)
- Transferring subsidiary data(传送子帐套数据)
- Using summary accounts(使用汇总帐户)
- Using the State Controller(使用状态控制器)
- Viewing consolidation hierarchies(查看合并分层结构)
- Content Set window(目录集窗口)
- Content sets(目录集)
- Assigning display types(指定显示类型)
- Copying(复制)
- Defining(定义)
- Contents(目录)
- Control Values window(控制值窗口)
- Conversion rate types(兑换率类型)
- Conversion Rate Types window(兑换率类型窗口)
- Corporate conversion rate type(公司兑换率类型)
- Correct Journal Import Data window [2](更正日记帐导入数据窗口 [2])
- Create Journals program(创建日记帐程序)
- Cumulative Translation Adjustment account(累计折算调整帐户)
- Currencies(币种)
- Assigning a functional currency(指定本位币)
- Assigning to a financial report(指定至财务报表)
- Defining(定义)
- Defining European Monetary Union relationships(定义欧洲货币联盟关系)
- Enabling or disabling(启用或禁用)
- ISO predefined in GL(GL 中预定义的 ISO)
- Revaluing balances(重估余额)
- Translating balances(折算余额)
- Working with multiple(处理多币种)
- Currencies window [2] [3](币种窗口 [2] [3])
- Currency conversion(货币兑换)
- Defining rate types(定义汇率类型)
- Entering daily rates(输入每日汇率)
- Entering historical rates(输入历史汇率)
- Entering period rates(输入期间汇率)
- Currency derivations(货币推导)
- Customizing Journal Approval(自定义日记帐审批)
- Determining if journal batch is valid(确定日记帐批是否有效)
- Determining if journal needs approval(确定日记帐是否需要审批)
- Preparer approval authority(编制人审批权限)
- Verifying approver authority(核实审批人权限)
- Daily conversion rates(每日兑换率)
- Daily Rates window(每日汇率窗口)
- Database Links(数据库链接)
- Defining(定义)
- Deleting(删除)
- Define Budget Formula window [2] [3] [4] [5](定义预算公式窗口 [2] [3] [4] [5])
- Define Budget Organization window [2] [3] [4] (定义预算组织窗口 [2] [3] [4])
- Define Budget Organizations form(定义预算组织表)
- Define Budget window [2] [3] [4](定义预算窗口 [2] [3] [4])
- Define Financial Report Set window(定义财务报表集窗口)
- Define Financial Report window [2](定义财务报表窗口 [2])
- Define MassAllocations window [2](定义成批分配窗口 [2])
- Define MassBudgets window [2](定义成批预算窗口 [2])
- Define Recurring Journal Formula window [2] [3](定义经常性日记帐公式窗口 [2] [3])
- Defining Database Links window(定义数据库链接窗口)
- Defining transaction calendars(定义事务处理日历)
- Delete Journal Import Data window(删除日记帐导入数据窗口)
- Descriptive flexfields(说明性弹性域)
- Defining in General Ledger(在总帐中定义)
- Journals - Captured Information [2] [3] [4] [5](日记帐 - 捕获信息 [2] [3] [4] [5])
- Journals - Journal Entry Line [2] [3] [4](日记帐 - 日记帐分录行 [2] [3] [4])
- Value-Added Tax [2] [3] [4] [5] [6] [7](增值税 [2] [3] [4] [5] [6] [7])
- Detail Average Daily Balances window(明细平均每日余额窗口)
- Detail Balances window [2] [3](明细余额窗口 [2] [3])
- Detail Budgets window(明细预算窗口)
- Display Group window(显示组窗口)
- Display groups, defining(显示组,定义)
- Display options in FSG(FSG 中的显示选项)
- Display Set window(显示集窗口)
- Display sets, defining(显示集,定义)
- Document sequences(单据序列)
- Assigning(指定)
- Assigning by entry method(按分录方法指定)
- Assigning by set of books(按帐套指定)
- Downloading financial reports(下载财务报表)
- Dynamic insertion, Used with budgetary control(动态插入,使用预算控制)
- EasyCalc
- Defining report calculations(定义报表计算)
- Entering complex formulas(输入复杂公式)
- Entering formulas(输入公式)
- Effective Date Rule(有效日期规则)
- Eliminating journals(抵销日记帐)
- Entering an automatic offsetting line(输入自动抵销行)
- Generating(生成)
- Elimination Lines window(抵销行窗口)
- Elimination Sets window [2](抵销集窗口 [2])
- EMU Fixed conversion rate type(EMU 固定兑换率类型)
- Enable Journal Entry Tax(启用日记帐分录税)
- Encumbrance accounting(保留会计)
- Funds checking(资金检查)
- Overview(概览)
- Reports(报表)
- Encumbrance Types window(保留类型窗口)
- Encumbrances(保留数)
- Assigning a reserve for encumbrance account(指定保留帐户准备)
- Assigning to a financial report(指定至财务报表)
- Carrying forward year-end(年终结转)
- Defining types(定义类型)
- Encumbrance Trial Balance Report(保留试算表报表)
- Entering(输入)
- Open Encumbrance Balance With Transaction Detail Report(使用事务处理明细报表打开保留余额)
- Opening an encumbrance year(打开保留年度)
- Overview of encumbrance accounting(保留会计概览)
- Performing year-end processing(执行年终处理)
- Relieving(清除)
- Reviewing(复核)
- Viewing funds available(查看可用资金)
- Enter Budget Amounts window [2] [3](输入预算额窗口 [2] [3])
- Enter Budget Journals window [2] [3](输入预算日记帐窗口 [2] [3])
- Enter Encumbrances window [2] [3](输入保留数窗口 [2] [3])
- Enter Intercompany Transaction window(输入公司间事务处理窗口)
- Enter Journals window [2] [3] [4] [5](输入日记帐窗口 [2] [3] [4] [5])
- Enter Person window(输入人员窗口)
- Entering employees(输入员工)
- Entering future period journals(输入将来期间日记帐)
- Entering intercompany transactions with CENTRA(使用 CENTRA 输入公司间事务处理)
- Entering intercompany transactions without CENTRA(不使用 CENTRA 输入公司间事务处理)
- Entering prior period journals(输入前期日记帐)
- Error message log files(错误信息日志文件)
- Errors(差错)
- European Monetary Union(欧洲货币联盟)
- Exceptions window(例外信息窗口)
- Exchange rates(汇率)
- Feeder systems(支系统)
- Exporting data to General Ledger(将数据导出至总帐)
- Importing to General Ledger(导入至总帐)
- Financial Analyzer Integration(财务分析程序集成)
- Financial report sets(财务报表集)
- Copying(复制)
- Defining(定义)
- Running(运行)
- Financial reports(财务报表)
- Assigning a budget(指定预算)
- Assigning a currency(指定币种)
- Assigning an encumbrance type(指定保留类型)
- Assigning control values(指定控制值)
- Copying(复制)
- Creating exception reports(创建例外报表)
- Defining(定义)
- Defining ad hoc(定义即席)
- Deleting ad hoc reports(删除即席报表)
- Displaying account description and number(显示帐户说明和编号)
- Downloading(下载)
- Level of detail reporting(明细层报表)
- Running(运行)
- Financial Statement Generator, Enabling security(财务报表生成器,启用安全功能)
- Financial Statement Generator (FSG)(财务报表生成器 (FSG))
- Amount types(金额类型)
- Assigning accounts(指定帐户)
- Balance control options(余额控制选项)
- Column set advanced options(栏集高级选项)
- Column Set Builder(栏集生成器)
- Copying report objects(复制报表对象)
- Copying report objects from another database(从另一个数据库复制报表对象)
- Defining ad hoc reports(定义即席报表)
- Defining column exceptions(定义栏例外信息)
- Defining column sets(定义栏集)
- Defining content sets(定义目录集)
- Defining database links(定义数据库链接)
- Defining display groups(定义显示组)
- Defining display sets(定义显示集)
- Defining financial report sets(定义财务报表集)
- Defining financial reports(定义财务报表)
- Defining report calculations(定义报表计算)
- Defining row orders(定义行顺序)
- Defining row sets(定义行集)
- Deleting ad hoc reports(删除即席报表)
- Display options(显示选项)
- Downloading reports(下载报表)
- Error message log files(错误信息日志文件)
- Format masks(格式屏蔽)
- Frequently asked questions(常见问题)
- FSG tasks(FSG 任务)
- Including budgets, encumbrances, and currencies(纳入预算数、保留数和币种)
- Overview(概览)
- Reference information(参考信息)
- Relative headings(相关标题)
- Report building concepts(报表建立概念)
- Report building process(报表建立流程)
- Report parameters(报表参数)
- Row and column overrides(行和栏改写值)
- Row set advanced options(行集高级选项)
- Row set display types(行集显示类型)
- Row set format options(行集格式选项)
- Running financial reports(运行财务报表)
- Running reports from standard request submission(从标准请求提交运行报表)
- Scheduling reports to run automatically(计划报表的自动运行)
- Standard column sets(标准栏集)
- Suggestions for specific financial reports(特殊财务报表建议)
- Tips for designing FSG reports(设计 FSG 报表提示)
- Using(使用)
- Find Transactions window(查找事务处理窗口)
- Foreign currency(外币)
- Daily rates(每日汇率)
- Journals [2](日记帐 [2])
- Notes on translating average balances(折算平均余额附注)
- Revaluing balances(重估余额)
- Translation(折算)
- Format masks(格式屏蔽)
- Column width(栏宽)
- Control characters(控制字符)
- Currency formats(货币格式)
- Examples(实例)
- Printing rules(打印规则)
- Formula window [2] [3] [4](公式窗口 [2] [3] [4])
- Formulas(公式)
- Allocation formula rules(分配公式规则)
- Assigning segment types(指定段类型)
- Defining report calculations(定义报表计算)
- Entering budget formulas(输入预算公式)
- Entering MassAllocation formulas(输入成批分配公式)
- Entering MassBudget formula lines(输入成批预算公式行)
- Entering recurring journal formulas(输入经常性日记帐公式)
- Entering with EasyCalc(输入 EasyCalc)
- Including an account balance(纳入帐户余额)
- Freeze Budget window [2] [3](冻结预算窗口 [2] [3])
- Freezing subledger journals(冻结子分类帐日记帐)
- FSG Frequently Asked Questions(FSG 常见问题)
- Displaying account descriptions and segment values(显示帐户说明和段值)
- Downloading a report to a PC(下载报表至个人计算机)
- Printing credit amounts as positive numbers(打印贷项金额为正数)
- Reviewing reports online(联机复核报表)
- Suppress printing of plus signs for numeric values(抑制打印带加号的数字值)
- Suppress printing of zero amounts(抑制打印零额)
- Tools to solve report problems(解决报表问题的工具)
- Unexpected results from report definition(报表定义的意外结果)
- FSG overview(FSG 概览)
- FSG reference(FSG 参考)
- Amount types(金额类型)
- Balance control options(余额控制选项)
- Column set advanced options(栏集高级选项)
- Column Set Builder toolbar(栏集生成器工具栏)
- Content set display types(目录集显示类型)
- Display options(显示选项)
- Format masks(格式屏蔽)
- Relative headings(相关标题)
- Report parameters(报表参数)
- Row and column overrides(行和栏改写值)
- Row set advanced options(行集高级选项)
- Row set display types(行集显示类型)
- Row set format options(行集格式选项)
- Standard column sets(标准栏集)
- FSG tasks(FSG 任务)
- Assigning accounts(指定帐户)
- Copying report objects(复制报表对象)
- Copying report objects from another database(从另一个数据库复制报表对象)
- Creating column headings(创建栏标题)
- Defining ad hoc reports(定义即席报表)
- Defining calculations(定义计算)
- Defining column exceptions(定义栏例外信息)
- Defining column sets(定义栏集)
- Defining content sets(定义目录集)
- Defining database links(定义数据库链接)
- Defining display groups(定义显示组)
- Defining display sets(定义显示集)
- Defining financial report sets(定义财务报表集)
- Defining reports(定义报表)
- Defining row orders(定义行顺序)
- Defining row sets(定义行集)
- Deleting ad hoc reports(删除即席报表)
- Downloading financial reports(下载财务报表)
- Enabling security(启用安全功能)
- Including budgets, encumbrances, and currencies(纳入预算数、保留数和币种)
- Running financial reports(运行财务报表)
- Using Column Set Builder(使用栏集生成器)
- FSG tips and techniques(FSG 提示和技术)
- FSG Transfer Program(FSG 转帐程序)
- Function security in General Ledger(总帐中的安全保护功能)
- Funds available(可用资金)
- Creating reports(创建报表)
- Inquiry(查询)
- Viewing(查看)
- Funds Available Inquiry window(可用资金查询窗口)
- Funds checking(资金检查)
- About(关于)
- Approving journal batches(审批日记帐批)
- Encumbrance accounting(保留会计)
- Immediate update of funds available(立即更新可用资金)
- Passing and failing(通过和未通过)
- Reserving funds(储备资金)
- Future period journals, Entering(将来期间日记帐,输入)
- General Ledger performance, Improving(总帐性能,提高)
- Generate Eliminations window [2](生成抵销窗口 [2])
- Generate MassAllocation Journals window(生成成批分配日记帐窗口)
- Generate MassBudget Journals window(生成成批预算日记帐窗口)
- Generate Recurring Journals window(生成经常性日记帐窗口)
- GL Accounts window(GL 帐户窗口)
- GL Journal Approval Process, Activities(GL 日记帐审批流程,活动)
- GL_BUDGET_INTERFACE
- Loading data into(将数据装入)
- Uploading budgets to(更新预算)
- GL_DAILY_RATES_INTERFACE table(GL_DAILY_RATES_INTERFACE 表)
- GL_INTERFACE table(GL_INTERFACE 表)
- Assigning currency conversion values(指定币种兑换值)
- Assigning values for accounts(指定帐户值)
- Assigning values for conditionally required columns(指定有条件要求栏的值)
- Assigning values for required columns(指定要求栏的值)
- Assigning values to optional columns(指定值至可选栏)
- Budget data(预算数据)
- Encumbrance data(保留数据)
- Intercompany data(公司间数据)
- Multi-currency data(多币种数据)
- Required NULL columns(要求“空”栏)
- Statistical data(统计数据)
- Global Consolidation System(全球合并系统)
- Consolidation process(合并流程)
- Consolidation Workbench [2](合并工作台 [2])
- Creating eliminating entries(创建抵销分录)
- Creating eliminating journal entries(创建抵销日记帐分录)
- Entering eliminating journal entry lines(输入抵销日记帐分录行)
- Overview(概览)
- Performing consolidated balance inquiries(执行合并余额查询)
- What can you consolidate?(您可以将什么进行合并?)
- Headings window(标题窗口)
- Historical rates(历史汇率)
- Automatically assigned rate types(自动指定的汇率类型)
- Entering(输入)
- Historical Rates window(历史汇率窗口)
- Implementation Wizard(执行向导)
- Import Journals window(导入日记帐窗口)
- Importing(导入)
- Importing journals(导入日记帐)
- Improving performance(提高性能)
- Intercompany accounts(公司间往来帐户)
- Assigning to a set of books(指定至帐套)
- Defining(定义)
- Intercompany Accounts window(公司间往来帐户窗口)
- Intercompany Clearing Accounts window(公司间结算帐户窗口)
- Intercompany transaction(公司间事务处理)
- Approving or rejecting(审批或拒绝)
- Defining recurring(定义经常性)
- Entering(输入)
- Entering journal lines(输入日记帐行)
- Generating recurring(生成经常性)
- Marking for deletion(标记删除)
- Reversing(冲销)
- Updating(更新)
- Intercompany Transaction Types window(公司间事务处理类型窗口)
- Intercompany transactions(公司间事务处理)
- Intercompany Transfer Program(公司间转帐程序)
- Parameters(参数)
- Running(运行)
- Journal Approval(日记帐审批)
- Approving journal batches(审批日记帐批)
- Creating an approval hierarchy(创建审批分层结构)
- Customizable: Verify Authority Process(自定义:核实权限流程)
- Customizing [2] [3] [4] [5](自定义 [2] [3] [4] [5])
- Defining authorization limits(定义权限)
- Enabling(启用)
- Enabling in a set of books(在帐套中启用)
- GL Approval Process(GL 审批流程)
- GL Initialization & Validation Process(GL 初始化和验证流程)
- GL No Approver Response Process(GL 无审批人回复流程)
- GL Preparer Approval Process(GL 编制人审批流程)
- GL Request Approval Process(GL 请求审批流程)
- Journal sources(日记帐来源)
- Overview(概览)
- Profile options(配置文件选项)
- Setting up(设置)
- Submitting batches for approval(提交要审批的批)
- Journal Authorization Limits window(日记帐权限窗口)
- Journal batches(日记帐批)
- Approving(审批)
- Cancelling a posting(取消过帐)
- Posting(过帐)
- Submitting for approval(提交审批)
- Journal categories(日记帐类别)
- Budgetary control options(预算控制选项)
- Defining(定义)
- Setting budgetary control options(设置预算控制选项)
- Journal Categories window(日记帐类别窗口)
- Journal detail(日记帐明细)
- Archiving(存档)
- Performing a journal entry inquiry(执行日记帐分录查询)
- Purging archived data(清除存档数据)
- Reviewing in a budget inquiry(在预算查询中复核)
- Reviewing in an account inquiry(在帐户查询中复核)
- Journal entries(日记帐分录)
- Batch posting errors(批过帐错误)
- Batch posting status(批过帐状态)
- Cancelling a posting(取消过帐)
- Changing a batch period(更改批期间)
- Changing the currency(更改币种)
- Checking or reserving funds(检查或储备资金)
- Creating journal batches(创建日记帐批)
- Defining categories(定义类别)
- Defining reverse journal entries(定义冲销日记帐分录)
- Defining sources(定义来源)
- Entering(输入)
- Entering budget journals(输入预算日记帐)
- Entering foreign currency journals(输入外币日记帐)
- Entering journal lines(输入日记帐行)
- Entering statistical journals(输入统计日记帐)
- Entering taxable journals(输入可征税日记帐)
- Importing(导入)
- Performing an inquiry(执行查询)
- Posting automatically (AutoPost)(自动过帐(自动过帐))
- Posting taxable journals(过帐可征税日记帐)
- Recurring formula(经常性公式)
- Reversing(冲销)
- Reversing taxable journals(冲销可征税日记帐)
- Skeleton(基本)
- Standard recurring(标准经常性)
- Journal entry inquiry, Performing(日记帐分录查询,执行)
- Journal Entry Inquiry window(日记帐分录查询窗口)
- Journal Entry Lines window [2] [3] [4] [5] [6](日记帐分录行窗口 [2] [3] [4] [5] [6])
- Journal Import(日记帐导入)
- About(关于)
- Correcting accounts(更正帐户)
- Correcting data(更正数据)
- Defining sources(定义来源)
- Deleting data(删除数据)
- Exporting data from subledgers and feeder systems(从子分类帐和支系统导出数据)
- GL_INTERFACE table(GL_INTERFACE 表)
- Importing budget data(导入预算数据)
- Importing encumbrance data(导入保留数据)
- Importing intercompany data(导入公司间数据)
- Importing multi-currency data(导入多币种数据)
- Importing specialized data(导入专用数据)
- Importing statistical data(导入统计数据)
- Preparation(准备)
- Run options(运行选项)
- Running(运行)
- Setting concurrent program controls(设置并发程序控制)
- Summary import journals(汇总导入日记帐)
- Validation(验证)
- Journal Import validation(日记帐导入验证)
- Journal sources(日记帐来源)
- Average Consolidation(平均合并)
- Budgetary control options(预算控制选项)
- Defining(定义)
- Effective date rule used for average balance processing(用于平均余额处理的有效日期规则)
- Freezing(冻结)
- Requiring journal approval(要求日记帐审批)
- Setting budgetary control options(设置预算控制选项)
- Journal Sources window(日记帐来源窗口)
- Journals(日记帐)
- Approving(审批)
- Entering future period(输入将来期间)
- Entering prior period(输入前期)
- Entering taxable(输入可征税)
- Posting taxable(过帐可征税)
- Reversing taxable(冲销可征税)
- Submitting for approval(提交审批)
- Journals - Captured Information descriptive flexfield [2] [3] [4](日记帐 - 捕获信息说明性弹性域 [2] [3] [4])
- Journals - Journal Entry Line descriptive flexfield [2] [3](日记帐 - 日记帐分录行说明性弹性域 [2] [3])
- Journals window [2] [3] [4] [5] [6] [7] [8] [9](日记帐窗口 [2] [3] [4] [5] [6] [7] [8] [9])
- Key flexfields, Accounting Flexfield(键弹性域,会计弹性域)
- Latest Encumbrance Year(最近保留年度)
- Maintain Euro Period Rates program, Running [2](维护欧元期间汇率程序,运行 [2])
- Maintain Summary Templates program(维护汇总模板程序)
- Managing system resources(管理系统资源)
- Archiving account balances and journal detail(存档帐户余额和日记帐明细)
- Running the Maintain Summary Templates program(运行维护汇总模板程序)
- Running the Optimizer program(运行优化程序)
- Setting concurrent program controls(设置并发程序控制)
- Storage parameters for interim tables(临时表存储参数)
- Mass Approvals program, See: Mass Funds Check/Reservation program(成批预算程序,请参阅:成批资金检查/保留程序)
- Mass Funds Check/Reservation program(成批资金检查/保留程序)
- Mass Maintenance(成批维护)
- Mass Maintenance Workbench window [2] [3] [4] [5] [6](成批维护工作台窗口 [2] [3] [4] [5] [6])
- MassAllocation examples(成批分配实例)
- Incremental(递增)
- Usage-Based(基于使用)
- MassAllocations(成批分配)
- About(关于)
- Choosing an allocation method(选择分配方法)
- Copying batches(复制批)
- Creating batches(创建批)
- Creating formulas(创建公式)
- Entering a target account(输入目标帐户)
- Entering an offset account(输入抵销帐户)
- Entering formula lines(输入公式行)
- Examples(实例)
- Formula rules(公式规则)
- Generating(生成)
- Setting concurrent program controls(设置并发程序控制)
- Validating(验证)
- MassBudgets(成批预算)
- Choosing an allocation method(选择分配方法)
- Copying(复制)
- Defining(定义)
- Defining a formula(定义公式)
- Entering a target account(输入目标帐户)
- Entering an offset account(输入抵销帐户)
- Entering formula lines(输入公式行)
- Formula rules(公式规则)
- Generating(生成)
- Setting concurrent program controls(设置并发程序控制)
- Using(使用)
- Validating(验证)
- Master/Detail budgets(主/明细预算)
- Creating(创建)
- Detail budget inquiry(明细预算查询)
- Drilldown to detail account balances(细查明细帐户余额)
- Example(实例)
- Master budget inquiry(总预算查询)
- Performing inquiries on(执行查询)
- Reviewing budget journal detail(复核预算日记帐明细)
- Merging account balances(合并帐户余额)
- MO: Operating Unit profile option(MO:业务实体配置文件选项)
- More Actions window [2](其它活动窗口 [2])
- More Details window [2](其它明细窗口 [2])
- Moving account balances(移动帐户余额)
- Multi-company accounting(多公司会计)
- Accounting with a single set of books(单一帐套会计)
- Accounting with multiple sets of books(多帐套会计)
- Automatic eliminating entries(自动抵销分录)
- Creating reports(创建报表)
- Performing(执行)
- Single vs. multiple sets of books(单对多帐套)
- Multi-currency accounting, Overview(多币种会计,概览)
- Multiple currencies, Working with(多币种,处理)
- Multiple organization support(多组织支持)
- Multiple organizations, Tax information(多组织,税务信息)
- Multiple Reporting Currencies(多报表币种)
- Budget amounts and budget journals(预算额和预算日记帐)
- Defining a primary set of books(定义主帐套)
- Defining reporting sets of books(定义报表帐套)
- Encumbrances(保留)
- General Ledger setup [2](总帐设置 [2])
- Generating reporting currency journals(生成报表币种日记帐)
- Guidelines for using(使用指南)
- Importing journals(导入日记帐)
- Initializing reporting set of book's balances(初始化报表帐套余额)
- Modifying journals in a reporting set of books(修改报表帐套中的日记帐)
- Notes on using with Translation(使用事务处理附注)
- Opening and closing periods(打开和关闭会计期)
- Order of MRC-related tasks(MRC 相关任务顺序)
- Overview(概览)
- Posting in primary set of books(在主帐套中过帐)
- Posting in reporting sets of books(在报表帐套中过帐)
- Primary and reporting sets of books(主帐套和报表帐套)
- Revaluing balances(重估余额)
- Reversing journal entries(冲销日记帐分录)
- Translating balances(折算余额)
- Translating budget balances(折算预算余额)
- Understanding MRC(了解 MRC)
- Using MRC with General Ledger(与总帐一起使用 MRC)
- Net allocations(净分配)
- Offsetting account, MassAllocations(抵销帐户,成批分配)
- Online funds checking(联机资金检查)
- About(关于)
- Approving journal batches(审批日记帐批)
- Encumbrance accounting(保留会计)
- Immediate update of funds available(立即更新可用资金)
- Passing and failing(通过和未通过)
- Reserving funds(储备资金)
- Open and Close Periods window [2](打开和关闭期间窗口 [2])
- Open interfaces(开放接口)
- Operating unit(业务实体)
- Optimizer program(优化程序)
- Oracle Applications, Implementation Wizard(Oracle 应用产品,执行向导)
- Owners' equity accounts, Notes on translating(所有者权益帐户,折算附注)
- Parent values(父值)
- Planning and defining(计划和定义)
- Parent-child relationships, Creating(父子关系,创建)
- Password, budget organization(口令,预算组织)
- Performance, Improving for General Ledger(性能,总帐提高)
- Period rates, Entering(期间汇率,输入)
- Period Rates window(期间汇率窗口)
- Period status(期间状态)
- Closed(关闭)
- Future-Entry(将来输入)
- Never Opened(不打开)
- Open(打开)
- Permanently Closed(永久关闭)
- Period Types window(期间类型窗口)
- Periods(期间)
- Post Journals window [2](过帐日记帐窗口 [2])
- Posting(过帐)
- Prior period journals, Entering(前期日记帐,输入)
- Profile options(配置文件选项)
- Programs(程序)
- Project tracking(项目跟踪)
- Purge, Archived account balances and journals(清除、存档帐户余额和日记帐)
- Purge Consolidation Audit Data window(清除合并审计数据窗口)
- Qualifiers, Accounting Flexfield(限定词,会计弹性域)
- Rate-based allocations(基于汇率的分配)
- Recurring journal entries(经常性日记帐分录)
- Formula entries(公式分录)
- Skeleton(基本)
- Standard(标准)
- Recurring journal formula entries(经常性日记帐公式分录)
- Recurring journals(经常性日记帐)
- About(关于)
- Changing(更改)
- Copying(复制)
- Creating journal entries(创建日记帐分录)
- Creating recurring journal formula batches(创建经常性日记帐公式批)
- Creating skeleton entries(创建基本分录)
- Creating standard entries(创建标准分录)
- Entering an automatic offsetting line(输入自动抵销行)
- Entering recurring journal entry lines(输入经常性日记帐分录行)
- Generating(生成)
- Performing standard costing(执行标准成本计算)
- Using summary accounts(使用汇总帐户)
- Relative headings(相关标题)
- Reports and listings, Budget Organization Listing(报表和列表,预算组织列表)
- Revaluation(重估)
- Program(程序)
- Summary of Revaluation Program action(重估程序活动汇总)
- Revalue Balances window(重估余额窗口)
- Reverse journal entries(冲销日记帐分录)
- Defining(定义)
- Generating(生成)
- Reverse Journals window(冲销日记帐窗口)
- Reversing journals, Generating batches(冲销日记帐,生成批)
- Rollup groups(累计组)
- Accounting Flexfield(会计弹性域)
- Creating(创建)
- Planning and defining(计划和定义)
- Rounding Options window(舍入选项窗口)
- Row Order window(行顺序窗口)
- Row orders(行顺序)
- Row Set window(行集窗口)
- Row sets(行集)
- Advanced options(高级选项)
- Amount types(金额类型)
- Assigning accounts(指定帐户)
- Balance control options(余额控制选项)
- Copying(复制)
- Defining(定义)
- Defining calculations(定义计算)
- Display options(显示选项)
- Display types(显示类型)
- Format masks(格式屏蔽)
- Format options(格式选项)
- Row and column overrides(行和栏改写值)
- Rows window(行窗口)
- Segment qualifiers, Accounting Flexfield(段限定词,会计弹性域)
- Segment Rules window(段规则窗口)
- Segment specification, GL_INTERFACE table(段说明,GL_INTERFACE 表)
- Segment types(段类型)
- Constant(常数)
- Looping(循环)
- Summing(总计)
- Used in MassBudget formulas(用于成批预算公式)
- Sequence Assignments window(序列指定窗口)
- Set of books(帐套)
- Allowing suspense posting(允许暂记过帐)
- Assigning a cumulative translation account(指定累计折算帐户)
- Assigning a net income account(指定净收入帐户)
- Assigning a reserve for encumbrance account(指定保留帐户准备)
- Assigning a retained earnings account(指定留存收益帐户)
- Assigning a suspense account(指定暂记帐户)
- Assigning accounts(指定帐户)
- Assigning an intercompany account(指定公司间往来帐户)
- Associating with responsibilities(与责任关联)
- Average balance options(平均余额选项)
- Balancing intercompany journals(平衡公司间日记帐)
- Defining(定义)
- Enabling average balance processing [2](启用平均余额处理 [2])
- Enabling average balances(启用平均余额)
- Enabling budgetary control(启用预算控制)
- Enabling journal approval(启用日记帐审批)
- Enabling journal entry tax(启用日记帐分录税)
- Requiring budget journals(请求预算日记帐)
- Standard options(标准选项)
- Transferring subsidiary data to your parent(将子帐套数据传送至父帐套)
- Set of Books window [2] [3] [4](帐套窗口 [2] [3] [4])
- Setting up(设置)
- Budgetary control(指定帐套帐户)
- Budgetary control(预算控制)
- Defining a project segment(定义项目段)
- Defining accounts(定义帐户)
- Defining descriptive flexfields(定义说明性弹性域)
- Defining summary accounts(定义汇总帐户)
- Defining your chart of accounts(定义科目表)
- General Ledger(总帐)
- General Ledger setup flowchart(总帐设置流程图)
- Implementation Wizard(执行向导)
- Intercompany accounts(公司间往来帐户)
- Multi-currency accounting(多币种会计)
- Opening and closing accounting periods(打开和关闭会计期)
- Overview(概览)
- Planning and installation(计划和安装)
- Project tracking in GL(GL 中的项目跟踪)
- Sets of books(帐套)
- Transaction calendars(事务处理日历)
- Underlying Oracle Applications technology(基本 Oracle 应用产品技术)
- Setting up Journal Approval(设置日记帐审批)
- SFAS 52 [2] [3] [4] [5] [6](SFAS 52 [2] [3] [4] [5] [6])
- Skeleton journal entries(基本日记帐分录)
- Source Batches window [2](来源批窗口 [2])
- Spot conversion rate type(即期兑换率类型)
- Standard column sets(标准栏集)
- Standard costing(标准成本计算)
- Using allocations for(使用分配)
- Using recurring journals(使用经常性日记帐)
- Standard costing allocations(标准成本计算分配)
- Standard recurring journal entries(标准经常性日记帐分录)
- Standard reports and listings(标准报表和列表)
- STAT
- State Controller(状态控制器)
- Statistical Units of Measure window(统计计量单位窗口)
- Statistics(统计)
- Defining statistical accounts(定义统计帐户)
- Defining units of measure(定义计量单位)
- Entering budget journals(输入预算日记帐)
- Entering statistical budget amounts(输入统计预算额)
- Entering statistical journals(输入统计日记帐)
- Reporting on(报告)
- Step-down allocations(阶梯分配)
- Storage parameters, Setting(存储参数,设置)
- Storage Parameters window(存储参数窗口)
- Subledger journals(子分类帐日记帐)
- Exporting data to General Ledger(将数据导出至总帐)
- Importing to General Ledger(导入至总帐)
- Subsidiaries window(子帐套窗口)
- Summary accounts(汇总帐户)
- Defining(定义)
- Determining your needs(确定需要)
- Entering templates(输入模板)
- Planning(计划)
- Planning parent values and rollup groups(计划父值和累计组)
- Planning summary account templates(计划汇总帐户模板)
- Planning the structure(计划结构)
- Setting budgetary control options(设置预算控制选项)
- Updating(更新)
- Using in recurring journals(用于经常性日记帐)
- Summary Accounts window [2] [3] [4](汇总帐户窗口 [2] [3] [4])
- Summary Average Daily Balances window(汇总平均每日余额窗口)
- Summary Balances window [2] [3] [4](汇总余额窗口 [2] [3] [4])
- Summary import journals, Creating(汇总导入日记帐,创建)
- Suspense account(暂记帐户)
- Assigning to a set of books(指定至帐套)
- Defining(定义)
- Posting(过帐)
- Suspense Accounts window(暂记帐户窗口)
- Tablespace for archived data(存档数据的表空间)
- Tax(税)
- Calculating tax for manual journal entries(计算人工日记帐分录税)
- Calculating tax on manual journal entries(计算人工日记帐分录税)
- Calculation rules(计算规则)
- Defaults and overrides(默认和改写值)
- Entering taxable journal entries(输入可征税日记帐分录)
- Formulas and rounding(公式和舍入)
- Journal-level calculation(日记帐层计算)
- Line-level calculation(行层计算)
- Multiple organizations(多组织)
- Setting up automatic tax(设置自动计税)
- Tax information fields(税务信息字段)
- Tax options field reference(税选项字段参考)
- Tax Options window [2](税选项窗口 [2])
- Transaction calendars(事务处理日历)
- Business day defaults(业务日默认值)
- Defining(定义)
- Transfer Amounts window(转帐额窗口)
- Transfer Consolidation Data Set window(传送合并数据集窗口)
- Transfer Consolidation Data window [2] [3](传送合并数据窗口 [2] [3])
- Translate Balances window(折算余额窗口)
- Notes on translating average balances(折算平均余额附注)
- Translation(折算)
- Cumulative Translation Adjustment account(累计折算调整帐户)
- Foreign currency(外币)
- Notes on translating average balances(折算平均余额附注)
- Notes on translating owners' equity accounts(折算所有者权益帐户附注)
- Notes on using MRC with(使用 MRC 附注)
- Rates used(使用的汇率)
- With historical rates and amounts(含历史汇率和金额)
- Translation Statuses window(折算状态窗口)
- Units of measure, Defining(计量单位,定义)
- Upload Budgets window(加载预算窗口)
- Uploading budgets(加载预算)
- About(关于)
- Budget Interface table(预算接口表)
- Correcting errors(更正差错)
- Loading data into the Budget Interface table(将数据装入预算接口表
)
- To undefined accounts(至未定义的帐户)
- Validation(验证)
- Usage-based allocations(基于惯例的分配)
- User conversion rate type(用户兑换率类型)
- Value sets(值集)
- Parent values(父值)
- Value hierarchies(值分层结构)
- Value-Added Tax descriptive flexfield [2] [3] [4] [5] [6](增值税说明性弹性域 [2] [3] [4] [5] [6])
- Values(值)
- Child(子)
- Detail(明细)
- Parent(父)
- Summary(汇总)
- Year-End Carry Forward window(年终结转窗口)