Master-Interlook:Начало работы со счетами/en — различия между версиями

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==Введение==
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==Introduction==
Данная статья описывает порядок работы с финансовым блоком (меню Accounts).
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This article describes how to work with a financial unit (Accounts).
 
==Общий порядок работы==
 
==Общий порядок работы==
Счета подразделяются на счета от партнеров-поставщиков (инвойсы поставщиков) и счета партнерам-покупателям (инвойсы покупателям).<BR>
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The accounts are divided into the account of provider partners (provider invoices) and accounts to customers (invoices to customers). <br />
Инвойсы от поставщиков поступают в программу из внешних испточников (например по e-mail) и вносятся вручную в экране Service provider invoices.<BR>
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Invoices received from providers in the program from external source (eg by e-mail) and entered manually into the screen Service provider invoices. <br />
Инвойсы покупателям создаются из интерфейса экрана Invoice - работа с данными инвойсами ведется в экране Invoice management.<BR>
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Invoices for customers are from the interface screen Invoice - working with data in the screen is invoices Invoice management. <br />
Платежи от покупателей вносятся в экране Payments, а платежи поставщикам в экране Partner's payments. <BR>
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Payments from customers are included in the screen Payments, and payments to providers in the screen Partner's payments. <br />
Двусторонний баланс (как баланс с поставщиками, так и баланс с покупателями) относительно принимающей компании можно просмотреть в экране Full daily costs. <BR>
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Bilateral balance (the balance with the suppliers and buyers with the balance) for the hosting company, you can view the screen in Full daily costs. <br />
 
[[Category:Master-Interlook_Accounts]]
 
[[Category:Master-Interlook_Accounts]]
  
 
[[Category:Master-Interlook_Tutorial]]
 
[[Category:Master-Interlook_Tutorial]]

Текущая версия на 11:07, 12 декабря 2012

Другие языки:
English • ‎русский

Version 12-12-2012.

Introduction

This article describes how to work with a financial unit (Accounts).

Общий порядок работы

The accounts are divided into the account of provider partners (provider invoices) and accounts to customers (invoices to customers).
Invoices received from providers in the program from external source (eg by e-mail) and entered manually into the screen Service provider invoices.
Invoices for customers are from the interface screen Invoice - working with data in the screen is invoices Invoice management.
Payments from customers are included in the screen Payments, and payments to providers in the screen Partner's payments.
Bilateral balance (the balance with the suppliers and buyers with the balance) for the hosting company, you can view the screen in Full daily costs.