Peak Software Telephone Number: 01625 428220

Nominal Links

Creation date: 11/12/2019 16:22    Updated: 14/07/2020 12:56    bank details department links nominal links product groups setup system

If a nominal transaction has gone to the dump account (99999) or to the wrong nominal account this is where you need to check and amend accordingly:


Parts

You need to look at the part and see what product group it is linked to

  • Click on System
  • Click on Product Groups
  • Select the relevant Product Group Number (click [?] if unsure of the number)
  • Check you are using the correct nominal codes in the setup of the Product Group



Control Accounts (e.g. Debtors, Cash In Hand etc)

  • Click on System
  • Click on Nominal Links
  • Check you are using the correct nominal codes in the setup of the Nominal Codes  


Bank Accounts

  • Click on System
  • Click on Bank Details



Workshop Labour

  • Click on System
  • Click on Setup
  • Click on Departments
  • Select relevant department from the drop down list


Car Sales

  • Click on Car Sales
  • Click on Vehicle Groups
  • Select relevant Vehicle Group > Nominal Links > Nominal Type
  • If it is the control account for a DFA you need click on the DFA and then details

 

Files