Import transfers from Sage Cash Management
This parameter is used to define the directory path and file name that are submitted by default when starting the balancing transfer import function, transmitted by the cash management software (see the Sage cash management payment schedule export documentation).
When no value is given to this parameter, neither at folder nor at user levels, the default path is then ....../FOLDER_NAME/CASH/.
Level of localization / Global variable
This parameter is defined at the level User. It belongs to Chapter CPT (Accounting) and the Group CAS (Cash management), The following parameters are also associated with this chapter and group :
- CASTREGDUD (Status/trn type - open items)
- EXPCASDUD (Export open items to Sage treasury)
- EXPCASPAY (Export payments to Sage treasury)
- GAUCASH (Sage treas. transf. import document)
No global variable is associated with it.
Functions concerned
The following functions are associated with this parameter :
Financials > Interfaces > Import transfers from Sage treasury
Activity codes
The following activity codes (sorted by type) are associated with the parameter :
Dependent activity codes
These codes are never entered in folder management, because their value is calculated :
CASIN (Treasury interface).
Functional
SCTE : Sage concept treasury
T1000 : Sage 1000 treasury