This parameter is used during the automatic generation of the cash forecast when the X3 document and the affected BP do not have an assigned bank. In this case, the process creates the cash forecast with the bank indicated in this parameter.
This parameter is defined at the level Site. It belongs to Chapter TRS (Acc Payable/Acc Receivable) and the Group CAS (Cash management), The following parameters are also associated with this chapter and group :
Its values are defined by the function Bank accounts.
No global variable is associated with it.
The following activity codes (sorted by type) are associated with the parameter :
CFOM :
Cash forecast management