0417 Financial - Multiple financial databases

The fields on this tab are relevant only if the Isah database is linked to multiple financial databases. If this is not the case, leave these fields empty.

Master data and journal entries

Copy journal entries to active financial database

Transfer master data to active financial administrations

Credit limits

Show open items from active financial database

Determine customer balances based on active financial databases

Determine open items and bank data based on active financial databases when determining liquidity

Stocks

Create journal entries when transferring from warehouse to warehouse