Previous page | Process Management | Next page |
Reload Currencies |
These action is used to set the built-in account system to refresh itself from data held in Tables. There are no settings (or properties dialog) associated with this action. Usage notes This action is used to refresh the account system if the Layout Manager / Globe node / Properties / Financial tab (shown below) is set to use Custom Currencies, and the Table that underlies this has been changed. |
|