OpenPetra
Free Administration Software for Non-Profits
Account.Validation-generated.cs File Reference

Classes

class  Ict.Petra.Server.MFinance.Account.Validation.AEpAccountValidation
 This contains the settings for one specific bank account. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AEpStatementValidation
 List of recently imported bank statements. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AEpMatchValidation
 the matches that can be used to identify recurring gift or GL transactions More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AEpTransactionValidation
 the transactions from the recently imported bank statements; they should help to identify the other party of the transaction (donor, etc) and the purpose of the transaction More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ASubSystemValidation
 Subsystems to the general ledger which can be added and removed independantly. Eg GL, AP, AR, GR. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ALedgerValidation
 Basic information for each general ledger on the system. Also counters for ledger-specific variables (such as last receipt number). More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ALedgerInitFlagValidation
 Ledger Init Flags. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ABudgetTypeValidation
 Used for initial set up of budgets, for how to calculate amounts for each period. Some possible types are adhoc,same,percentage of annual. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AAccountValidation
 Details about each account code within a ledger. Also holds information on the summary account structure for reporting. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AAccountPropertyCodeValidation
 Extra properties that might want to be saved with an account can be defined in this table. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AAccountPropertyValidation
 Properties and optional values for an account can be saved in this table. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AAccountHierarchyValidation
 hierarchy of accounts; what is the root account of the hierarchy More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AAccountHierarchyDetailValidation
 the elements of the hierarchy of accounts; which account is reporting to which other account More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ACostCentreTypesValidation
 Stores standard and user-defined cost centre types. For example: Foreign, Local. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ACostCentreValidation
 Master cost centre records which contain details of each cost centre and their relationship to each other; determines the cost centre structure. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AValidLedgerNumberValidation
 List of foreign ledgers (eg, other fields) which the local ledger may send transctions to. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ABudgetRevisionValidation
 This defines a certain revision of a budget in a ledger in a year. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ABudgetValidation
 Budget information for cost centre-account combinations. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ABudgetPeriodValidation
 This is the budget data for one period (e.g. a month) More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AAccountingPeriodValidation
 Information about each financial period in a ledger. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AAccountingSystemParameterValidation
 One record describing the limitations imposed on the accounting system. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AAnalysisStoreTableValidation
 List of tables in the financial system, meant to be used with analysis attributes. Not available. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AAnalysisTypeValidation
 Types of analysis attributes. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AAnalysisAttributeValidation
 Indicates which accounts use analysis attributes and what attribute types may be used with the account. Analysis attributes are user-definable extra information to be stored against an account. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ACorporateExchangeRateValidation
 Hold (monthly) corporate rates. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ADailyExchangeRateValidation
 Ad hoc exchange rates. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.PEmailValidation
 email addresses of our organisation More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AEmailDestinationValidation
 Where Petra supports it a cross reference between a file and destination can be established for automatic distribution. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AFeesPayableValidation
 Fees owed to another ledger. (e.g. admin grant) More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AFeesReceivableValidation
 Charges to collect from other ledgers. (e.g. office admin fee) More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AFormValidation
 The form description for user definable forms such as receipts. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AFormElementTypeValidation
 The element types that are available for placing in forms. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AFormElementValidation
 Each element that can be displayed on a form is defined on this table. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AFreeformAnalysisValidation
 Available analysis values that may be given to a transaction for each analysis type. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AGeneralLedgerMasterValidation
 All balances on accounts, including summary information is stored here. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AGeneralLedgerMasterPeriodValidation
 The General Ledger Master data for one period (e.g. a month) More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AIchStewardshipValidation
 Contains the calculation for the stewardship for a particular run. Files and reports can be recreated from this. ICH = International Clearing House (Handles transfering of funds and admin grant fees among offices.) More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AMethodOfGivingValidation
 Special payment programs the donor may give money through. (ie, Gift Aid in the UK). Currently not used in Petra release 1. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ATransactionTypeValidation
 Various ways a transaction may originate, depending on the subsystem. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ARecurringBatchValidation
 Templates of general ledger batches which can be copied into the ledger. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ARecurringJournalValidation
 Templates of general ledger journals which are copied into the ledger with recurring general ledger batches. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ARecurringTransactionValidation
 Templates of general ledger transactions which are copied into the ledger with general ledger batches. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ARecurringTransAnalAttribValidation
 Detailed analysis information stored along with the recurring transaction template. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ABatchValidation
 Store current and forward period general ledger batches for a ledger. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.AJournalValidation
 Holds details of each general ledger journal, which contains a group of transactions. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ARevaluationValidation
 Holds information used specifically in revaluations. The table extends the a_journal table. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ATransactionValidation
 Detailed information for each debit and credit in a general ledger journal. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ATransAnalAttribValidation
 Analysis information entered by the user for a general ledger transaction. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ASuspenseAccountValidation
 Lists the suspense accounts of each ledger. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ASpecialTransTypeValidation
 Transaction types which have special processing. Eg. Allocation, Reallocation, Gift, Revaluation. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ASystemInterfaceValidation
 Shows which systems are interfaced (have been added) to each general ledger. More...
 
class  Ict.Petra.Server.MFinance.Account.Validation.ACurrencyLanguageValidation
 Describes what is to be displayed for a currency and language combination when displaying the amount as text. More...
 

Namespaces

namespace  Ict
 
namespace  Ict.Petra
 
namespace  Ict.Petra.Server
 
namespace  Ict.Petra.Server.MFinance
 
namespace  Ict.Petra.Server.MFinance.Account
 
namespace  Ict.Petra.Server.MFinance.Account.Validation