Adjustment Amounts (tfgld5104m000)
Use this session to enter adjustment amounts for a scheme, in the input currency.
Field Information
- Translation Adjustment Scheme
 - 
            
The translation-adjustment scheme.
 - Input Currency
 - 
            
The translation-scheme's input currency in which the original amounts are expressed.
 - Year
 - 
            
The year to which the amounts apply.
 - Statutory Balance Amount
 - 
            
The balance of all statutory amounts.
Allowed values
Zero (0).
 - Period
 - 
            
The period to which the amounts apply.
 - Complementary Balance Amount
 - 
            
The balance of all complementary amounts.
 - Ledger Account
 - 
            
The ledger account to which you book the adjustment amount.
 - Ledger Account Description
 - 
            
Description of the account.
 - Dual Accounting Indicator
 - 
            
The dual accounting indicator is used to indicate the accounting scheme to which the ledger account belongs.
 - Amount
 - 
            
The adjustment amount expressed in the input currency.
 - Debit/Credit
 - 
            
Indicates whether the amount is a debit amount or a credit amount.