Basiskonten: Unterschied zwischen den Versionen
Aus iDempiere de
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| − | | [[Buchführungsschema_(Fenster_ID-125)#TAB:_Voreinstellungen|Buchführungsschema -> Voreinstellungen]] || C_ACCTSCHEMA_DEFAULT || B_ASSET_ACCT || Default Level 1 -> Bank || || || || | + | | [[Buchführungsschema_(Fenster_ID-125)#TAB:_Voreinstellungen|Buchführungsschema -> Voreinstellungen]] || C_ACCTSCHEMA_DEFAULT || B_ASSET_ACCT || Default Level 1 -> Bank || 1200 Bank || || || |
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| − | | || C_ACCTSCHEMA_DEFAULT || B_INTERESTEXP_ACCT || Default Level 1 -> Bank || || || || | + | | || C_ACCTSCHEMA_DEFAULT || B_INTERESTEXP_ACCT || Default Level 1 -> Bank ||2110 Zinsaufwendungen für kurzfristige Verbindlichkeiten || || || |
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| − | | || C_ACCTSCHEMA_DEFAULT || B_INTERESTREV_ACCT || Default Level 1 -> Bank || || || || | + | | || C_ACCTSCHEMA_DEFAULT || B_INTERESTREV_ACCT || Default Level 1 -> Bank ||2650 Sonstige Zinsen und ähnliche Erträge |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || B_INTRANSIT_ACCT || Default Level 1 -> Bank || || || || | + | | || C_ACCTSCHEMA_DEFAULT || B_INTRANSIT_ACCT || Default Level 1 -> Bank ||1201 Bank Kontobewegung |
| + | || || || | ||
|- | |- | ||
| − | | || C_ACCTSCHEMA_DEFAULT || B_PAYMENTSELECT_ACCT || Default Level 1 -> Bank || || || || | + | | || C_ACCTSCHEMA_DEFAULT || B_PAYMENTSELECT_ACCT || Default Level 1 -> Bank || 1332 Bezahlung selektiert |
| + | || || || | ||
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| − | | || C_ACCTSCHEMA_DEFAULT || B_UNALLOCATEDCASH_ACCT || Default Level 1 -> Bank || || || || | + | | || C_ACCTSCHEMA_DEFAULT || B_UNALLOCATEDCASH_ACCT || Default Level 1 -> Bank ||1203 Bank nicht zugeordnete Zahlungen |
| + | || || || | ||
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| || C_ACCTSCHEMA_DEFAULT || C_PREPAYMENT_ACCT || Default Level 2 -> BP_Group || || || || | | || C_ACCTSCHEMA_DEFAULT || C_PREPAYMENT_ACCT || Default Level 2 -> BP_Group || || || || | ||
Version vom 27. März 2014, 15:09 Uhr
Präfixe in den Bezeichnungen
Die meisten Standardkontenbezeichnungen nutzen die folgenden Präfixe:
| Präfix | Tabelle |
|---|---|
| B | C_BankAccount_Acct |
| C | C_BP_Customer_Acct |
| V | C_BP_Vendor_Acct |
| CH | C_Charge_Acct |
| PJ | C_Project_Acct |
| T | C_Tax_Acct |
| P | M_Product_Acct |
| W | M_Warehouse_Acct |
M_Product_Acct-Konten werden von M_Product_Category_Acct abgeleitet (können aber modifiziert werden)
C_BP_Customer_Acct und C_BP_Vendor_Acct werden von C_BP_Group_Acct abgeleitet (können aber modifiziert werden)
Verwendung
| Fenster, Register | Tabelle | Spalte | Verwendet in | DE SKR03 | DE SKR04 | AT | CH |
|---|---|---|---|---|---|---|---|
| Buchführungsschema -> Voreinstellungen | C_ACCTSCHEMA_DEFAULT | B_ASSET_ACCT | Default Level 1 -> Bank | 1200 Bank | |||
| C_ACCTSCHEMA_DEFAULT | B_INTERESTEXP_ACCT | Default Level 1 -> Bank | 2110 Zinsaufwendungen für kurzfristige Verbindlichkeiten | ||||
| C_ACCTSCHEMA_DEFAULT | B_INTERESTREV_ACCT | Default Level 1 -> Bank | 2650 Sonstige Zinsen und ähnliche Erträge | ||||
| C_ACCTSCHEMA_DEFAULT | B_INTRANSIT_ACCT | Default Level 1 -> Bank | 1201 Bank Kontobewegung | ||||
| C_ACCTSCHEMA_DEFAULT | B_PAYMENTSELECT_ACCT | Default Level 1 -> Bank | 1332 Bezahlung selektiert | ||||
| C_ACCTSCHEMA_DEFAULT | B_UNALLOCATEDCASH_ACCT | Default Level 1 -> Bank | 1203 Bank nicht zugeordnete Zahlungen | ||||
| C_ACCTSCHEMA_DEFAULT | C_PREPAYMENT_ACCT | Default Level 2 -> BP_Group | |||||
| C_ACCTSCHEMA_DEFAULT | C_RECEIVABLE_ACCT | Default Level 2 -> BP_Group | |||||
| C_ACCTSCHEMA_DEFAULT | C_RECEIVABLE_SERVICES_ACCT | Default Level 2 -> BP_Group | |||||
| C_ACCTSCHEMA_DEFAULT | CB_ASSET_ACCT | Default Level 1 -> CashBook | |||||
| C_ACCTSCHEMA_DEFAULT | CB_CASHTRANSFER_ACCT | Default Level 1 -> CashBook | |||||
| C_ACCTSCHEMA_DEFAULT | CB_DIFFERENCES_ACCT | Default Level 1 -> CashBook | |||||
| C_ACCTSCHEMA_DEFAULT | CB_EXPENSE_ACCT | Default Level 1 -> CashBook | |||||
| C_ACCTSCHEMA_DEFAULT | CB_RECEIPT_ACCT | Default Level 1 -> CashBook | |||||
| C_ACCTSCHEMA_DEFAULT | CH_EXPENSE_ACCT | Default Level 1 -> Charge | |||||
| C_ACCTSCHEMA_DEFAULT | NOTINVOICEDRECEIPTS_ACCT | Default Level 1 -> BP_Group | |||||
| C_ACCTSCHEMA_DEFAULT | P_ASSET_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | P_AVERAGECOSTVARIANCE_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | P_COGS_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | P_COSTADJUSTMENT_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | P_EXPENSE_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | P_INVENTORYCLEARING_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | P_INVOICEPRICEVARIANCE_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | P_PURCHASEPRICEVARIANCE_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | P_RATEVARIANCE_ACCT | Production (Design Error) Default Level 2 -> Product_Category |
|||||
| C_ACCTSCHEMA_DEFAULT | P_REVENUE_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | P_TRADEDISCOUNTGRANT_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | P_TRADEDISCOUNTREC_ACCT | Default Level 2 -> Product_Category | |||||
| C_ACCTSCHEMA_DEFAULT | PAYDISCOUNT_EXP_ACCT | Default Level 1 -> BP_Group | |||||
| C_ACCTSCHEMA_DEFAULT | PAYDISCOUNT_REV_ACCT | Default Level 1 -> BP_Group | |||||
| C_ACCTSCHEMA_DEFAULT | PJ_ASSET_ACCT | Default Level 1 -> Project | |||||
| C_ACCTSCHEMA_DEFAULT | PJ_WIP_ACCT | Default Level 1 -> Project | |||||
| C_ACCTSCHEMA_DEFAULT | REALIZEDGAIN_ACCT | Allocation | |||||
| C_ACCTSCHEMA_DEFAULT | REALIZEDLOSS_ACCT | Allocation | |||||
| C_ACCTSCHEMA_DEFAULT | T_CREDIT_ACCT | Default Level 1 -> Tax | |||||
| C_ACCTSCHEMA_DEFAULT | T_DUE_ACCT | Default Level 1 -> Tax | |||||
| C_ACCTSCHEMA_DEFAULT | T_EXPENSE_ACCT | Default Level 1 -> Tax | |||||
| C_ACCTSCHEMA_DEFAULT | UNEARNEDREVENUE_ACCT | Default Level 1 -> BP_Group | |||||
| C_ACCTSCHEMA_DEFAULT | UNREALIZEDGAIN_ACCT | Process Invoice Not Realized Gain/Loss | |||||
| C_ACCTSCHEMA_DEFAULT | UNREALIZEDLOSS_ACCT | Process Invoice Not Realized Gain/Loss | |||||
| C_ACCTSCHEMA_DEFAULT | V_LIABILITY_ACCT | Default Level 2 -> BP_Group | |||||
| C_ACCTSCHEMA_DEFAULT | V_LIABILITY_SERVICES_ACCT | Default Level 2 -> BP_Group | |||||
| C_ACCTSCHEMA_DEFAULT | V_PREPAYMENT_ACCT | Default Level 2 -> BP_Group | |||||
| C_ACCTSCHEMA_DEFAULT | W_DIFFERENCES_ACCT | Default Level 1 -> Warehouse | |||||
| C_ACCTSCHEMA_DEFAULT | WRITEOFF_ACCT | Default Level 1 -> BP_Group | |||||
| Accounting Schema -> General Ledger | C_ACCTSCHEMA_GL | COMMITMENTOFFSET_ACCT | MatchInv Order (PO) | ||||
| C_ACCTSCHEMA_GL | COMMITMENTOFFSETSALES_ACCT | Order (SO) | |||||
| C_ACCTSCHEMA_GL | CURRENCYBALANCING_ACCT | General Fact | |||||
| C_ACCTSCHEMA_GL | INTERCOMPANYDUEFROM_ACCT | General Fact | |||||
| C_ACCTSCHEMA_GL | INTERCOMPANYDUETO_ACCT | General Fact | |||||
| C_ACCTSCHEMA_GL | PPVOFFSET_ACCT | MatchPO | |||||
| C_ACCTSCHEMA_GL | SUSPENSEBALANCING_ACCT | General Fact | |||||
| Business Partner Group -> Accounting | C_BP_GROUP_ACCT | C_PREPAYMENT_ACCT | Default Level 1 -> BP_Customer | ||||
| C_BP_GROUP_ACCT | C_RECEIVABLE_ACCT | Default Level 1 -> BP_Customer | |||||
| C_BP_GROUP_ACCT | C_RECEIVABLE_SERVICES_ACCT | Default Level 1 -> BP_Customer | |||||
| C_BP_GROUP_ACCT | NOTINVOICEDRECEIPTS_ACCT | InOut MatchInv | |||||
| C_BP_GROUP_ACCT | PAYDISCOUNT_EXP_ACCT | Allocation | |||||
| C_BP_GROUP_ACCT | PAYDISCOUNT_REV_ACCT | Allocation | |||||
| C_BP_GROUP_ACCT | UNEARNEDREVENUE_ACCT | Invoice (SO) | |||||
| C_BP_GROUP_ACCT | V_LIABILITY_ACCT | Default Level 1 -> BP_Vendor | |||||
| C_BP_GROUP_ACCT | V_LIABILITY_SERVICES_ACCT | Default Level 1 -> BP_Vendor | |||||
| C_BP_GROUP_ACCT | V_PREPAYMENT_ACCT | Default Level 1 -> BP_Vendor | |||||
| C_BP_GROUP_ACCT | WRITEOFF_ACCT | Allocation | |||||
| Business Partner -> Customer -> Customer Accounting | C_BP_CUSTOMER_ACCT | C_PREPAYMENT_ACCT | Allocation Payment | ||||
| C_BP_CUSTOMER_ACCT | C_RECEIVABLE_ACCT | Allocation Invoice (SO) | |||||
| C_BP_CUSTOMER_ACCT | C_RECEIVABLE_SERVICES_ACCT | Invoice (SO) (Error unbalancing on Allocation) | |||||
| Business Partner -> Vendor -> Vendor Accounting | C_BP_VENDOR_ACCT | V_LIABILITY_ACCT | Allocation Invoice (PO) | ||||
| C_BP_VENDOR_ACCT | V_LIABILITY_SERVICES_ACCT | Invoice (PO) (Error unbalancing on Allocation) | |||||
| C_BP_VENDOR_ACCT | V_PREPAYMENT_ACCT | Allocation Payment | |||||
| Product Category -> Accounting | M_PRODUCT_CATEGORY_ACCT | P_ASSET_ACCT | Default Level 1 -> Product | ||||
| M_PRODUCT_CATEGORY_ACCT | P_AVERAGECOSTVARIANCE_ACCT | Default Level 1 -> Product | |||||
| M_PRODUCT_CATEGORY_ACCT | P_COGS_ACCT | Default Level 1 -> Product | |||||
| M_PRODUCT_CATEGORY_ACCT | P_COSTADJUSTMENT_ACCT | Default Level 1 -> Product | |||||
| M_PRODUCT_CATEGORY_ACCT | P_EXPENSE_ACCT | Default Level 1 -> Product | |||||
| M_PRODUCT_CATEGORY_ACCT | P_INVENTORYCLEARING_ACCT | Default Level 1 -> Product | |||||
| M_PRODUCT_CATEGORY_ACCT | P_INVOICEPRICEVARIANCE_ACCT | Default Level 1 -> Product | |||||
| M_PRODUCT_CATEGORY_ACCT | P_PURCHASEPRICEVARIANCE_ACCT | Default Level 1 -> Product | |||||
| M_PRODUCT_CATEGORY_ACCT | P_RATEVARIANCE_ACCT | Default Level 1 -> Product | |||||
| M_PRODUCT_CATEGORY_ACCT | P_REVENUE_ACCT | Default Level 1 -> Product | |||||
| M_PRODUCT_CATEGORY_ACCT | P_TRADEDISCOUNTGRANT_ACCT | Default Level 1 -> Product | |||||
| M_PRODUCT_CATEGORY_ACCT | P_TRADEDISCOUNTREC_ACCT | Default Level 1 -> Product | |||||
| Product -> Accounting | M_PRODUCT_ACCT | P_ASSET_ACCT | InOut Inventory | ||||
| M_PRODUCT_ACCT | P_AVERAGECOSTVARIANCE_ACCT | Not Used | |||||
| M_PRODUCT_ACCT | P_COGS_ACCT | InOut | |||||
| M_PRODUCT_ACCT | P_COSTADJUSTMENT_ACCT | Invoice | |||||
| M_PRODUCT_ACCT | P_EXPENSE_ACCT | InOut Invoice (PO) | |||||
| M_PRODUCT_ACCT | P_INVENTORYCLEARING_ACCT | Invoice (PO) MatchInv | |||||
| M_PRODUCT_ACCT | P_INVOICEPRICEVARIANCE_ACCT | MatchInv | |||||
| M_PRODUCT_ACCT | P_PURCHASEPRICEVARIANCE_ACCT | MatchPO | |||||
| M_PRODUCT_ACCT | P_RATEVARIANCE_ACCT | Not Used (Design Error) | |||||
| M_PRODUCT_ACCT | P_REVENUE_ACCT | Invoice (SO) | |||||
| M_PRODUCT_ACCT | P_TRADEDISCOUNTGRANT_ACCT | Invoice (SO) | |||||
| M_PRODUCT_ACCT | P_TRADEDISCOUNTREC_ACCT | Invoice (PO) | |||||
| Bank -> Account -> Accounting | C_BANKACCOUNT_ACCT | B_ASSET_ACCT | Bank | ||||
| C_BANKACCOUNT_ACCT | B_INTERESTEXP_ACCT | Bank | |||||
| C_BANKACCOUNT_ACCT | B_INTERESTREV_ACCT | Bank | |||||
| C_BANKACCOUNT_ACCT | B_INTRANSIT_ACCT | Bank Cash | |||||
| C_BANKACCOUNT_ACCT | B_PAYMENTSELECT_ACCT | Allocation Payment (PO) | |||||
| C_BANKACCOUNT_ACCT | B_UNALLOCATEDCASH_ACCT | Allocation Payment (SO) | |||||
| Charge -> Accounting | C_CHARGE_ACCT | CH_EXPENSE_ACCT | Bank Cash | ||||
| Project -> Accounting | C_PROJECT_ACCT | PJ_ASSET_ACCT | ProjectIssue | ||||
| C_PROJECT_ACCT | PJ_WIP_ACCT | ProjectIssue | |||||
| Revenue Recognition -> Revenue Recognition Plan | C_REVENUERECOGNITION_PLAN | P_REVENUE_ACCT | Created | ||||
| C_REVENUERECOGNITION_PLAN | UNEARNEDREVENUE_ACCT | Created | |||||
| Tax Rate -> Accounting | C_TAX_ACCT | T_CREDIT_ACCT | Invoice (PO) | ||||
| C_TAX_ACCT | T_DUE_ACCT | Invoice (SO) | |||||
| C_TAX_ACCT | T_EXPENSE_ACCT | Invoice (PO) | |||||
| Warehouse & Locators -> Accounting | M_WAREHOUSE_ACCT | W_DIFFERENCES_ACCT | Inventory |
