Yes, good point, I will...

Jacques

From: "snowc" <[email protected]>

Hi Jacques,  thanks for the response.  This question seems like it should be
in the FAQ?


jacques.le.roux wrote:

You may be interested by http://markmail.org/message/ixw3eazzpz64q7bc

Jacques

From: "snowc" <[email protected]>

On more detailed investigation, the ResourceTypes in seed data are:

MONEY
RAW_MATERIALS
LABOR
SERVICES
FINISHED_GOODS
DELIVERED_GOODS

These obviously describe the type of resource.  However, the
glAccountClass
and glAccountType seem to be modeling very similar concepts:

glAccountType

ACCOUNTS_RECEIVABLE
ACCOUNTS_PAYABLE
BALANCE_ACCOUNT
BANK_STLMNT_ACCOUNT
UNDEPOSITED_RECEIPTS
MRCH_STLMNT_ACCOUNT
CURRENT_ASSET
FIXED_ASSET
FIXED_ASSET_MAINT
OTHER_ASSET
CREDIT_CARD
CURRENT_LIABILITY
...

glAccountClass:

DEBIT
CREDIT
RESOURCE
ASSET
CURRENT_ASSET
CASH_EQUIVALENT
INVENTORY_ASSET
LONGTERM_ASSET
LIABILITY
CURRENT_LIABILITY
...

What are the differences between these concepts?  Why are two entities
required, and not just the one?

Many thanks in advance,

Chris



snowc wrote:

What are the main differences between the following fields?:

 glAccountClassId (E.g. "CASH_EQUIVALENT")
 glAccountTypeId (E.g. "CURRENT_ASSET")
 glResourceTypeId (E.g. "MONEY")

I've read through the ManagerReferenceAccounting, but I'm still a bit
confused.

Many thanks in advance,

Chris



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