1.金蝶财务软件中资产负债表的应收应付,预付预收公式是怎么设置的?
例如金蝶K3会计科目1122-应收账款,下设有明细科目1122.01-内销和1122.02-外销,两个明细科目都挂有核算项目类别“客户”,本期在总账中科目余额表的数据显示如图所示:1、金蝶K3中,公式ACCT("1122","JY","",0,0,0,"")=1122-应收账款科目中各明细科目的借方期末余额之和,明细科目中1122.01-内销的期末借方余额10,所以公式ACCT("1122","JY","",0,0,0,"")=102、金蝶K3中,公式ACCT("1122","DY","",0,0,0,"")=1122-应收账款科目中各明细科目的期末贷方余额之和,明细科目中1122.02-外销的期末贷方余额50,所以公式ACCT("1122","DY","",0,0,0,"")=50。
3、金蝶K3中,公式ACCT("1122|客户|","JY","",0,0,0,"")=1122-应收账款科目下各个核算项目客户的期末借方余额之和(参照图-2)。客户A 在明细科目1122.01-内销下的期末借方余额是60,在明细科目1122.02-外销下的期末贷方余额是30,借贷相抵,客户A 的期末借方余额为30。
所以公式ACCT("1122|客户|","JY","",0,0,0,"")=客户A 的期末借方余额30 +客户C 的期末借方余额80,即公式ACCT("1122|客户|","JY","",0,0,0,"")=110。4、金蝶K3中,公式ACCT("1122.01:1122.02","JY","",0,0,0,"")=ACCT("1122.01","JY","",0,0,0,"")+ACCT("1122.02","JY","",0,0,0,"")。
5、金蝶K3中,公式ACCT("1122.01:1122.02","DY","",0,0,0,"")=ACCT("1122.01","DY","",0,0,0,"")+ACCT("1122.02","DY","",0,0,0,"")。6、金蝶K3中,公式ACCT("1122.01:1122.02| 客户|","JY","",0,0,0,"")=ACCT("1122.01| 客户|","JY","",0,0,0,"") +ACCT("1122.02| 客户|","JY","",0,0,0,"") (参照图-2)。
在明细科目1122.01-内销下,客户A期末借方余额为60。在明细科目1122.02-外销下,客户C 期末借方余额为80。
所以ACCT("1122.01:1122.02|客户|","JY","",0,0,0,"")=60+80=140。7、ACCT("1122.01:1122.02| 客户|","DY","",0,0,0,"") 表示为ACCT("1122.01| 客户|","DY","",0,0,0,"") +ACCT("1122.02| 客户|","DY","",0,0,0,"") 之和(参照图-2)。
在明细科目1122.01-内销下,客户B期末贷方余额为50。在明细科目1122.02-外销下,客户A 期末借方余额为30。
客户D 期末贷方余额为100,所以ACCT("1122.01:1122.02|客户|","JY","",0,0,0,"")=50+30+100=180。扩展资料:金蝶K3报表取数公式详解 C表示期初余额。
JC表示借方期初余额。DC表示贷方期初余额。
AC表示期初绝对余额。Y期末余额。
JY表示借方期末余额。DY表示贷方期末余额。
AY表示期末绝对余额。JF表示借方发生额。
DF表示贷方发生额。JL表示借方本年累计发生额。
DL表示贷方本年累计发生额。SY表示损益本期实际发生额。
参考资料:百度文库-金蝶K3报表取数公式详解。