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
VAT Adjustments - VAT on Imported Goods
Viewed 6341 times since Fri, Oct 12, 2018
Multiple Updating - Update From Any Datafile Database File - Nominal
Viewed 2231 times since Thu, Jun 28, 2012
Application Manager - Cashbook
Viewed 1914 times since Thu, Jun 28, 2012
Post Bank Charges - Cashbook
Viewed 2687 times since Wed, Jun 27, 2012
Receipt and Payment Posting - Cashbook
Viewed 3799 times since Wed, Jun 27, 2012
List of Accounts - Cashbook
Viewed 1742 times since Wed, Jun 27, 2012
Cash Book Configuration
Viewed 2008 times since Thu, Jun 28, 2012
Include Older Transactions on Audit Trail
Viewed 2064 times since Wed, Jun 13, 2012
Automatic Bank Reconciliation - Automatically Accept Unique Suggested Matches
Viewed 697 times since Wed, Oct 16, 2024
Set Current Period - Cashbook
Viewed 2044 times since Wed, Jun 27, 2012