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Type: Story
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Status: Closed (View Workflow)
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Resolution: Completed
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Affects Version/s: None
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Fix Version/s: CFA 2019R4
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Component/s: Core
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Labels:None
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Sprint:CFAMX 2019R4 Sprint 3, CFAMX 2019R4 Sprint 4
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SCRUM Team:Brotherhood of Mutants
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Story Points:1
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Work Type Classification:Sustaining
Story
As an above store user, I would like the ability to maintain the Accrue and Reverse Accounts.
Details
Currently, the account list, which consists of Bonus/Vacation and Pary/Outing is hard coded. Chick-fil-A would like the list to be part of the ledger chart of accounts list (the same list that the expense sections use).
The list should not display for the expense sections and any expense accounts should not display in the Accrue and Reverse Account section.
Table
dbo.LedgerChartOfAccounts
Thinking we could have a separate MxAccountUsage type in the table. The drop down would only look for that usage account type when pulling the list.
Acceptance Criteria
Confirm the Account list in the Accrue and Reverse section is pulling from dbo.LedgerChartOfAccounts instead of being hardcoded.
Confirm if new accounts are added for the account section, they are displayed in the drop down list.
- implements
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CFAMX-4426 EOM - R4 - Month End Notes
- Closed