System Parameters enable you to configure your system to your specific requirements. The Cash Manager-specific system parameters are described in detail here.
This option enables you to define auto-transfer interfaces so that transaction batches can be transferred automatically to and from other systems e.g. Global 3000 Creditors Ledger and Debtors Ledger.
This option enables you to revalue cash books. You can run the program for a specified cash book, or for all cash books.
Reselect Company
This option lists all the companies defined in your system and it enables you to select the company whose details you want to work on.
Reselect Cash Book
This option lists all the cash books defined in Cash Manager and it enables you to select the cash book whose details you want to work on.
Speedbase Presentation Manager
This option gives you direct access to the Database Generation Utility. This varies according to the format the databases are held in. For further information, for databases in Global format see the Global System Manager Manual; for databases in C-ISAM format see the Global Operating Manual for Unix; for databases in Btrieve format see the Global System Manager Version 8.1 Notes.
Scenario Maintenance
Scenario Maintenance enables you to set up and amend 'scenarios' to control the style, content, and path etc. of data to be imported and exported. You can customise the standard scenarios or define new ones. For information on Scenario Maintenance, see the Global 3000 Installation & Set-up Manual.