You use this program to maintain revaluation categories. The revaluation category defines the revaluation method applicable to each alternate currency in use and the gains/loss ledger account to use for variances arising from the revaluation process.
Revaluation categories enable you to revalue any of the alternate currency ledgers based on a category that is optionally assigned to ledger accounts.
Field | Description |
---|---|
Category | Indicate the code for the revaluation category you want to add or maintain. |
GL Revaluation Category Maintenance | Indicate the code for the revaluation category you want to add or maintain. |
Category code | This indicates the code for the revaluation category you are adding or maintaining. |
Description | Indicate the description for the revaluation category code. |
This editable listview enables you to define the revaluation method and the Gains/Loss ledger code for each currency.
Field | Description |
---|---|
Currency | The currency codes displayed in these fields come from the alternative currencies you defined using the GL Alternative Currency Maintenance program. |
Type | The type you select determines how the ledger codes
attached to this category are revalued for this
currency. Refer to GL Alternate Currency Valuation for examples on how the average and month end rates are calculated. |
None | Select this if you do not want ledger codes attached to this category to be revalued for this currency. |
Average - Balance and movement | Select this to revalue the current period balance brought forward and the detail movements for the current period at an average rate. |
Average - Movement only | Select this to revalue only the detail movements for the current period at the average rate for the month. The balance brought forward is not revalued. |
Monthend - Balance and movement | Select this to revalue the current period balance brought forward and the detail movements for the current period at the month end rate for the currency. |
Monthend - Movement only | Select this to revalue only the detail movements for the current period at the month end rate for the currency. The balance brought forward is not revalued. |
Gain/Loss ledger code | Indicate the General Ledger code to which variances in revaluation must be posted. This ledger code must be defined as a Gain/Loss account (General Ledger Codes). |
Description | This is the description for the Gain/Loss ledger code you entered. |
Application Help Panes provide step-by-step instructions for various functions within the program, including a brief overview of what the program does, what setup options are required and how to personalize the program. The intention is that the pane provides information that is uncluttered and easy to navigate.
You can embed an Application Help Pane:
in the main SYSPRO menu
in any program with panes, if not using roles
when adding a role layout in Design Mode.
Inserting Application Help
You would typically follow this procedure to display help for the current program in a customized pane that can be pinned to the program window.
Information includes step-by-step instructions for the various functions available within the program, including a brief overview of what the program does, what setup options are required and how to personalize the program.
Open the program for which you want to insert application help into a customized pane.
This functionality is only available for a program that has panes.
Right-click any form field.
You can also click the triangle menu icon that appears in the title area of a pane.
Select Insert Application Help from the context-sensitive menu.
The application help appears in a pane within your program. You can reposition the pane using the docking stickers or pin it to the program window.
Removing the Application Help pane
If you no longer want to display application help in a pane for your current program, you can simply remove it.
Select the Close icon in the right-hand corner of the application help pane.
Confirm that you want to delete the pane.