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Custom 1 Account on Disposal Field, FA Posting Group Table

Specifies the number of the general ledger account to post Custom-1 transactions when you dispose of fixed assets in this posting group. This account is used for both the gross and net methods for calculating gain or loss on the disposal of fixed assets as defined in the Disposal Calculation Method field.

To see the account numbers in the Chart of Accounts window, click the field.

Tip

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Parent Tables

Table Location
FA Posting Group Table Fixed Assets
FA Posting Group Table Fixed Assets

See Also

Reference

FA Posting Groups
Disposal Calculation Method

Other Resources

Dispose or Retire Assets
Chart of Accounts