Home » Categories » Solutions by Business Process » Finance » Nominal and Cashbook

Controls and Audit Manager - Cashbook

Datafile Software

Controls and Audit Manager - Cashbook

The Controls and Audit Manager contains all the utility routines used to check the integrity of the database files and to undertake various housekeeping actions.

The tools supplied allow:

Audit Application Database Pointers

Check integrity of the databases (audit) and rebuild their index’s

Define the auto-expand parameters for databases

Check and reset application values

Recover Unused Space.

After selecting the ‘Controls & Audit Manager’ menu option you are prompted to select the application and then you are presented with the Controls & Audit options for that application.

Custom Fields
  • Release ID: Standard
Attachments Attachments
There are no attachments for this article.
Related Articles RSS Feed
Journals - Nominal
Viewed 2385 times since Wed, Jun 27, 2012
VAT Form 100 – Extra Items on Transaction Audit Trail
Viewed 235 times since Tue, Oct 22, 2024
Account Audit Trail, Account Audit Trail (Currency) - Cashbook
Viewed 1840 times since Wed, Jun 27, 2012
Select Key Definition - Nominal
Viewed 2693 times since Thu, Jun 28, 2012
Cash Book Configuration
Viewed 2088 times since Thu, Jun 28, 2012
Other Journal Options - Nominal
Viewed 2066 times since Wed, Jun 27, 2012
Revalue a Nominal Account - Nominal
Viewed 2299 times since Wed, Jun 27, 2012
Transaction Currency - Nominal - Database Profiles
Viewed 1809 times since Thu, Jun 28, 2012
Automatic Bank Reconciliation - Display Totals When Tag Multiple Entries
Viewed 616 times since Thu, Jan 2, 2025
Set Application Code Formats - Cashbook
Viewed 2055 times since Thu, Jun 28, 2012