About the GL Interface Options
Use the GL Cost, GL Revenue, GL Close, and Materials interface options in JC Company Parameters to define if the GL will be updated, and what level of detail will be interfaced.
If you elect to update GL, you must indicate the update level for each type of detail. If you choose to update at the Summary level, entries are summarized by batch and account, and one entry per account posted to GL. So, for example, if you have 15 transactions posted to three separate accounts in the batch, the summarization will produce three entries in GL. Additionally, you have the option to enter a summary transaction description, which identifies each of the entries in GL.
If you elect to update GL at the Detail level, one GL entry is created for each transaction/GL account in a batch. To create the description that will appear for each GL entry, you are given a list of detail options to choose from. Each option you select is then displayed in the Detail Transaction Description field, in the order of selection. When the GL entry is created, the description will comprise of the actual records as specified.
For example, for the GL Cost Interface, you specify Job/Phase/CT as the Detail Transaction Description. When the interface is implemented, the system uses the Job number, Phase code, and Cost Type for each transaction to create the description for each corresponding GL entry. The resulting description might look something like this:
1001/03110- - /1
The description will include the record of each item specified, so you could ultimately end up with a very long description if you use too many of the detail options in your description. It is suggested that you use whatever options will make the description short but meaningful.