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- Xref: sparky comp.databases:8514 comp.databases.theory:654
- Newsgroups: comp.databases,comp.databases.theory
- Path: sparky!uunet!newsflash.concordia.ca!mizar.cc.umanitoba.ca!ummalik
- From: ummalik@ccu.umanitoba.ca (Ijaz Rashid Malik)
- Subject: Setting Accounts Receivable...any ideas?
- Message-ID: <BzBtot.Eyq@ccu.umanitoba.ca>
- Sender: news@ccu.umanitoba.ca
- Nntp-Posting-Host: asimov.cc.umanitoba.ca
- Organization: University of Manitoba, Winnipeg, Canada
- Date: Wed, 16 Dec 1992 00:36:26 GMT
- Lines: 22
-
-
- I would appreciate if you could share some thoughts/ideas on solving
- following problem (I am using Paradox but I guess that doesn't matter)
-
- I have to set an Accounts Receivable/Payable system. There would be a
- number of businesses and some businesses woudl have some amount (may
- be more than one amount) owing/owed to them. I plan to use a linked form
- with Business table as the Master Table and R&P Table placed on this form
- as the linked detail table. When ever there is an entry to be made as
- accounts receivable or payable, I simply go to the record of the Business,
- F3 to the R&P table and INS a new record. So far so good. Problem arises
- when I need to clear a Receivable account (Business made payment) or
- Payable account (we made the payment) or a partial payment made to any
- entry. How do I automate this? Like, how can a business's receivable account
- can be cleared when business makes a payment for THE receivable account
- (Business can make payments for other purposes).
- Any ideas welcome and appreciated...!!!
-
- Thanks a lot!!!
-
- regards,
- Malik
-