Joe

Sorry if I was not clear.

I'm talking about the Object and the body of the email (the invoice is attached to the email), not the invoice itself.

Where can I change the email Object field content ?

Gaston

Are you sure Joe ?

I don't see anything related to the text included (and the object) in the email transporting the attached invoice.

Gaston

Hello

Where can I chage the text of the email when sending invoices. Right now, in the topic, it shows : Invoice #32

I would like to introduce the topic with the name of my organisation: Company- Invoices #32

Thanks

Gaston

agent182 wrote:

can anybody help me how to add a customer? cause in my page local manage customer, everytime I add a customer it doesn't shows up.

Hi! agent182

First, you are on someone else thread ...
Second, please see the FAQ : https://frontaccounting.com/wbt/pages/faq.php

2. Working with FrontAccounting
2.1 I have added new customer (supplier, item) but it is not visible in customer list
Go to Setup tab, Company Setup, and check that 'Search Customer/Supplier/Item list' are unmarked.
If these lists are marked, then you have enabled search for Customers/Suppliers/Items.
This might be a good idea if you have many records. You can then start a search by pressing a space in the list, or use the edit box in front of the list if such one is available. Now enter fragment of Customer/Supplier name or Item id, category or description and press tab. The list will now be populated with relevant records. If you enter a *, all records will be shown.

Gaston

30

(14 replies, posted in Setup)

Thanks Joe.

Gaston

31

(14 replies, posted in Setup)

Hi Joe

I have read most of the wiki, and for sure I have read the part about that. I also did made a backup.
BTW I even read an almost similar part of the forum where you almost said the same thing as here and where it was suggested to update the wiki. The point was not the lack of reading, but the lack of understanding, probably more related to accounting.

What I don't understand ia: "Also ensure that you have selected a correct account for the Retained Earnings." What is a correct account ? A bank account or another asset account? A liability account (I doubt about that one...) ?

Gaston

32

(14 replies, posted in Setup)

I think you are right Joe, but I'm so unsure about what should be committed there...

Any more deep docum about the closing and the role of the mentioned accounts ?

Thanks

Gaston

33

(14 replies, posted in Setup)

Thanks Joe

I'm not too sure of what you mean. I already have a Retained Earnings Account and a Profit and Loss Year Account, and I still have the message :
"The Retained Earnings Account or the Profit and Loss Year Account has not been set in System and General GL Setup".

Also I don't understand what you mean by "You should create such an account last in your expense accounts." It's maybe related to my problem ?

I have the feeling that it better not to make any mistake here ... ;-)

Gaston

34

(14 replies, posted in Setup)

WOW! I just finished the Journal entry to start the actual fiscal year.

As instructed in the wiki, I made a journal entry for the last day of my previous fiscal year.

Now I want to close this previous fiscal year and I got the following message:
The Retained Earnings Account or the Profit and Loss Year Account has not been set in System and General GL Setup

In simple words, what does that mean ?

Gaston

As you and Joe said:

Look into the access setup in Setup tab. Select the System Administrator. Look under Banking & GL Transactions. Check the row:
Journal Entries to Bank Related Accounts.

That should allow it.

/Joe
PS. Also be sure you have created the GL Bank Accounts and also created the Bank Accounts in Bank Accounts and enter the relevant GL Bank Account.

Janusz

In my case, the GL account attached to a bank account is not available in Journal Entry. Is-it ok, or not ?

Gaston

Janusz

I have read the information in FA Wiki, but how can I setup the opening  balance for a bank account if the bank account is available in Journal Entry ?

I probably missunderstood something ?

Thanks,

Gaston

Thanks Joe

I was thinking of having FA as the "master" of the game, because there is more information to capture.

With a module extension, it would be possible to sync the Tikiwiki ?

Gaston

Janusz or Joe

I would really appreciate to have your comments on the best way for me to keep in synch both applications with regards to the customer data (some).

Thanks,

Gaston

Hi.

In addition to FA, I also use another open source software (Tikiwiki) to manage our small association.

The only common information is the customer list. I need to maintain a list of customers in FA, and in TikiWiki.

What would be the most effective and elegant way to share the customer data and having one of the two applications to drive the show for that aspect ?

Just to launch the discussion...

Thanks

Gaston

No reaction ?

Because it's difficult, or not interesting ?

Gaston

Joe, Janusz

A hint about the spot to look at in order to see the sql scrip that loads the drop box ?

Thanks

Gaston

Hi

From time to time, it happens that we start a transaction and, for a reason, have to suspend our work.

The way it is now, is it possible to suspend the transaction as it is at that moment, and later come back, re-open that uncompleted transaction and finish it ? If not, is it something that would require a lot of work to do ?

Gaston

Joe

Is there a way to insert images in a post ?
I want to show the description of the GL classes, groups, and accounts, and also an image of the drop box in Payment showing that one of the account is not there (maybe more...).

If not, with a little help, I can track down the problem. Where should I look to see the SQL script that fills the Payment drop box ?

Thanks

Gaston

I was asking because I have an account AAA  of group account "Current Liabilities", class type "Liabilities", that doesn't show in the drop box (but is there when listing all Active GL accounts). I thought that  there was another rule.

If it is not the case, then it means that I have a problem, maybe something misconfigured.

What would be the process to find out ?

Thanks,

Gaston

I know it's more an accounting question that a FA question, but...

Let's suppose that Doris, our administrative person, bought with her own money an item from one of our supplier.
Now she wants to be refunded.

What is the good practice to keep track of the process. ?

Thanks

Gaston

When doing a Payment or deposit, not all account codes seems to be available for the transaction.

What makes an account code available for Payment, or available for Deposit ?


Thanks

Gaston

48

(14 replies, posted in Report Bugs here)

Difficult to say.

It's frequently a problem of unnoticed capital letters.

Other than that, if you have access to the database:
Reset password

You can reset the admin password for a company by using phpMyAdmin. Enter the company database and find the correct table prefix f.i. 0_users.
Edit the user Admin. Paste the following md5 password, 5f4dcc3b5aa765d61d8327deb882cf99 , for 'password' into the password field.
You can now login as username: admin and password: password .
Please change this password this asap.

49

(1 replies, posted in Setup)

Give a try to:

Go to "Setup", then choose "Company Setup", then "Search Supplier List"; if this option is marked, please unmark it.

Gaston

50

(7 replies, posted in Accounts Payable)

Thanks Janusz for the information. I will test that.

By the way, Quick Entries is a great tool.

Gaston