Use this tab to set up and manage global policies that 
 affect journal entry and account numbers.
        
            Next JE #
            This field affects eFinancials. The field defaults 
 to JE00001. 
            Accept this default or enter another starting 
 journal entry number. When the next journal entry is created, the system 
 looks at this field, duplicates the format, and assigns the next sequential 
 number. 
            Remember to end the format with a number so that 
 the system is able to increment to the next number. 
            Allow Incomplete Journal Entries
            Select this global policy if you want to allow 
 incomplete journal entries in the system. This policy works in conjunction 
 with user/role permission 
 settings. Select one of the following import options to control how 
 an imported journal entry will be treated when brought into the system:
            
                - Do not Import Incomplete 
 JEs
- Import Unbalanced 
 JEs or JEs with Errors as Incomplete JEs
- Always Import as 
 Incomplete JEs
Validate Property/Building/Unit number vs. eSite at 
 time of entry
            Select this option to validate the unit against 
 eSite. Validation is done using the eSite Web Service, which must be configured 
 to form a connection between eFinancials and eSite (Setup—Global Setup—Web 
 Service Setup). During all Journal Entry and Invoice Entry options when 
 a property/building/unit is specified and the policy is turned on, then 
 the unit is validated against eSite and a message returned if it does 
 not exist.
            PO/AP Default Accounting Date
            Select an option to specify whether the Default 
 Accounting Date is the Transaction Date or the Login Date. This applies 
 in eFinancials and ePO when adding or editing in Invoice Entry, Check 
 Entry, PO Entry, and Check Runs.
            With Login Date selected:
            
                - Changing the Invoice Date in Invoice Entry 
 does not automatically change the Accounting Date. 
 The Accounting Date keeps its value (i.e., the Login Date) unless the 
 user specifically changes it.
- Changing the Check Date in Check Entry 
 does not automatically change the Accounting Date. 
 The Accounting Date keeps its value (i.e., the Login Date) unless the 
 user specifically changes it.
- Changing the Accounting Date in Check Processing 
 does not automatically change the Accounting Date. 
 The Accounting Date keeps its value (i.e., the Login Date) unless the 
 user specifically changes it.   
With Transaction Date 
 selected:
            
                - Changing the Invoice Date in Invoice Entry 
 automatically also changes the Accounting Date.
- Changing the Check Date in Check Entry 
 (manual checks) also changes the Accounting Date. 
- Changing the Accounting Date in Check Processing also changes the 
 Accounting Date.
                 Note
Note
            Refer to Effect 
 of Global Policies - Other Tab for more information about how the 
 policies PO/AP Default Accounting Date 
 and Automatically update line item dates 
 to the Default Accounting Date when PO/Invoice dates are changed 
 affect whether or not the system will automatically update line item dates 
 to the Default Accounting Date.
            Automatically update line item dates to the Default 
 Accounting Date when PO/Invoice dates are changed
            Select an option to specify if the system automatically 
 updates line item dates to the Default Accounting Date when purchase order 
 or invoice dates are changed, or alternatively, if the user will be prompted 
 to allow the updates. Options include: Yes, No, Prompt. This applies when 
 adding or editing in Invoice Entry, Check Entry, Check Runs and PO Entry.
            Store Saved Documents in folders
            Select to store saved Documents 
 in folders.
            Root Document Path
            When you select the option to store saved documents 
 in folders, this field appears. Enter the path to the folder where you 
 want to store the documents.
            Use Inventory
            Click to enable the use of the Inventory Module. This check box appears only when the system detects is an Inventory license with at least one user.
            Cancel
            Click to stop without saving changes.
            Save
            Click to save changes.