用友U8资金管理操作手册
用友《ERP U8》的基本使用说明

一.用友ERP-u8系统初始化步骤注:(1)、两种方式:总帐系统初始化系统控制台——>基础设置(2)、注意编码级次1、会计科目:增加、修改、删除注:已使用科目增加下级科目操作重点:指定科目:如果不指定银行、现金的总帐科目,将无法进行出纳管理。
在会计科目界面——>编辑——>指定科目——>现金总帐科目——>银行总帐科目——”>”到"已选科目"栏中——>确定</P< p>2、外币汇率设置3、凭证类别设置:五种凭证类别方式凭证限制条件,限制科目4、结算方式设置5、部门档案设置6、职员档案设置7、客户、供应商分类及档案设置:注意先分类后档案说明1.客户名称用于销售发票的打印,客户简称用于业务单据和账表的屏幕显示。
2.客户的税号是开具销售专用发票的前提。
3.发货仓库用于单据中仓库缺省值。
4.扣率输入客户在一般情况下可以享受购货折扣率,用于销售单据中.8、项目档案设置:增加项目大类:增加——>在"新项目大类名称"栏输入大类名称——>屏幕显示向导界面——>修改项目级次指定核算科目:核算科目——>【待选科目】栏中系统列示了所有设置为项目核算的会计科目——>选中待选科目——>点击传送箭头到已选科目栏中——>确定项目分类定义:项目分类定义——>增加——>输入分类编码、名称——>确定</P< p>增加项目目录:项目目录——>右下角维护——>项目目录维护界面——>增加——>输入项目编号、名称,选择分类——>输入完毕退出9、录入期初余额☆输入末级科目(科目标记为白色)的期初余金额和累计发生额☆上级科目(科目标记为浅黄色)的余额和累计发生额由系统自动汇总☆辅助核算类科目(科目标记为蓝色)余额输入时,必须双击该栏,输入辅助帐的期初明细☆录入完毕后,可以试算、对帐检查期初数据。
用友U8_系统管理使用手册

用友U8_系统管理使用手册一、系统概述用友U8是一款功能强大的企业级管理软件,涵盖了财务管理、人力资源管理、供应链管理等多个方面。
系统管理是U8的核心模块之一,它负责整个系统的配置、维护和安全管理工作。
通过系统管理,用户可以方便地设置系统参数、管理用户权限、监控系统运行状态等。
二、系统参数设置1. 进入系统管理模块后,选择“系统参数”选项。
2. 在系统参数界面,用户可以设置公司的基本信息,如公司名称、地址、电话等。
3. 用户还可以设置系统的日期和时间格式,以及货币单位等。
4. 对于财务模块,用户需要设置会计科目、账套等信息。
5. 对于人力资源模块,用户需要设置员工信息、部门信息等。
6. 对于供应链模块,用户需要设置供应商信息、客户信息等。
三、用户权限管理1. 进入系统管理模块后,选择“用户管理”选项。
2. 在用户管理界面,用户可以添加新用户、编辑现有用户信息、删除用户等。
3. 用户还可以为每个用户分配不同的角色和权限,确保系统的安全性。
4. 用户角色包括系统管理员、财务人员、人力资源人员等,每个角色拥有不同的权限。
5. 用户权限包括查看、编辑、删除等操作权限,以及访问不同模块的权限。
四、系统监控1. 进入系统管理模块后,选择“系统监控”选项。
2. 在系统监控界面,用户可以查看系统的运行状态,如CPU使用率、内存使用率等。
3. 用户还可以查看系统的日志信息,了解系统的运行情况。
4. 如果系统出现异常,用户可以通过系统监控及时发现并解决问题。
5. 系统监控还可以帮助用户优化系统性能,提高系统运行效率。
用友U8_系统管理使用手册五、数据备份与恢复1. 数据备份是保障系统安全的重要措施。
在系统管理模块中,选择“数据备份”选项。
2. 用户可以设置自动备份计划,确保数据定期备份。
3. 手动备份也是可行的选择,用户可以随时触发备份过程。
4. 在“数据恢复”选项中,用户可以恢复之前备份的数据,以应对系统故障或数据丢失的情况。
用友软件u8系统用户操作手册(UFIDAU8systemusermanual)

用友软件u8系统用户操作手册(UFIDA U8 system user manual)UFIDA U8 system user manualI. system managementMain function:Reconciliation of sets of management, including the establishment, modification, backup, recovery, and delete accounting data.Unified management of the annual accounts, including the establishment, transfer, clear annual data, last year the data backup and restore the annual account data.Conduct unified planning, management and maintenance of operators and their rights.Clear the documents, lock, clear the abnormal tasks in time, etc..UFIDA Software default, the only system administrator for Admin, the initial password is empty. (suggest to reset the password)(1) how to set up accounts?The starting procedure UF ERP-U8 system service system management system (Admin operator) to determine the registration menu "account set menu set to enter the relevant account information (including account opening name, unit name, date, accounting system, accounting industry level dataaccuracy and length, etc.)(two) how do I set up an operator?Register with Admin, login, system management (i. e., the first 8 operations), permissions menuThe user adds input operator information (including operator code, name, password) to increase (increase here, confirm save)(three) how to set operator permissionsLogin system management with Admin identity (ibid.) "permission" menu permission first select the permissions set of account and accounting year, and then select the user to modify the authorization (i.e. in the relevant operation authority before me your attention, "+")If you want to set a user account manager, can be directly in the "tick" Account Supervisor(four) how to backup the accounting data?The system provides two backup modes: automatic backup and manual backupI. automatic backup: first, build a new folder on the local hard disk. The folder name is set as "UF automatic backup"". Then register with Admin, login system management (ditto), system menu"Auto backup plan" and "increase" input automatic plan number, automatic program name, the "frequency" for a week, "days" and "start time" is set according to the actual situation of the unit, "days" set for 7 days have already established a good selection of UF automatic backup folderThe last hit tick account and annual to choose the backup, click Add.Two, manual backup: first, on the local hard drive to build a new folder, folder name is set as "year + month + day manual backup", such as "20060925 manual backup."". Then take the Admin identity login system management (ditto) "account set menu" output "to choose the backup account check the system will automatically compress the process, wait a moment," select the backup "select just established" 20060925 manual backup "folder, click" confirm "" hard disk backup completed. "Ok. Finally, find the "20060925 manual backup" folder, and you will find two files, which show that manual backup is successful.Two, enterprise portal(1) basic setting1, operation methodRegister with operator as login, login, UF, U8 enterprise portal settings (enterprise portal, lower left), basic files2, special reminderThe content of the basic archives should be set according to the actual situation, not every item should be set up."Customer classification" refers to the unit in the day-to-day operation of the customer classification, and its classification standards are generally based on unit statistics need. So is the supplier classification. When setting, you must set the category and then set the file. If the customer is not selected when the account is set up, the supplier classification is not entered.In the setting of accounting subjects, if a subject chooses auxiliary accounting, then the subject does not need to set down subordinate detailed subjects, and the relevant detailed items are set in the corresponding basic setting. If the account receivable account, if the choice of auxiliary accounting "customer contact", then the subject of the relevant details should be set in the customer file.account setup is complete, or in new cash, bank subordinate subjects, such as the need to specify the cash bank accounts and cash flow based subjects, procedures for enterprise accounting archives portal settings specified to edit the specified subjects.When the initial balance is entered, the initial balance of the enterprise portal business ledger is set at the beginning of the entry periodIf a subject counts for quantity and foreign currency, the amount of the initial period and the balance of the foreigncurrency should be entered at the beginning of the entry period, and the amount of the local currency must be entered first, and then the amount of foreign currency balance will be entered.Non final course (data column is yellow), the balance is automatically calculated according to the balance of detail items.Red balance minus input?.The initial balance at the end of the certificate is read-only and cannot be modified.After the initial entry, the trial balance is made and the daily work can be done after the balance.(two) daily operation2.1 fill in the certificate1. document number: the system defaults automatically in chronological order. If you do not need the system automatic number, please hand number.Need to write the document number manual (mainly in vouchers, prompt whether vouchers off, "select" no "case), click the [[settings]] - GL - [options], click the" Edit "," modify system number "to" manual ", finally ok. This option can be modified at any time.2. if the subjects set the auxiliary accounting attribute, inthe fill in the certificate when the system will automatically prompt supplementary information, such as departments, individual projects, customers, suppliers, such as the number of. The auxiliary information entered will be displayed in the notes below the document.3. if you want to give up the unfinished entry input, according to the "line" button or the [Ctrl+D] key to delete the current entries.4. if you fill in the certificate used by the subjects for cash flow in the end of this article subjects recorded entries after the specified project cash flow of the entries as required. A conditional entry can be specified as a plurality of cash flow items, but the total amount must be consistent with the amount of entries. For the cash flow of the subject is not specified, such as specifying the project cash flow, in a record amount of input, click "flow" button, will pop up the cash flow of the specified window, ask you to enter the condition entries corresponding to the project cash flow.5. modify and delete documents5.1 modify the certificate must be modified in the "window" to fill in the certificate.In 5.2 after the lack of follow-up treatment, signed audit, directly find the need to modify the document can be modified.5.3, after the audit found the error, need to modify, cancel the audit directly, return 5.1 to modify.5.4, after accounting errors found, you need to modify, you need to cancel the account, cancel the audit and other operations, return 5.1 to modify.5.5, after checkout found errors, need to modify, you need to cancel the bill, cancel the account, cancel the audit and other operations, return 5.1 to modify.5.6 documents need to delete, in the "fill in the certificate" window, click on the [] - [single / recovery] will certificate void void. Click again [to make a copy of the document], select the month, click [OK]. At this point, the system will appear "whether the collation document broken" prompt window. If you need to retain the certificate number, select "no" and "yes", then the system automatically fills the document number.Note: the account must be final; the sum and the sum are not null; the scarlet letter is represented by "-". The cost of subjects, such as financial expenses in subjects, fill in the certificate, must be done in the debit, debit or debit (click on the blue and scarlet letter on the keyboard "-"). Otherwise, the number of reports is uneven.2.2 audit voucherNote: the audit and not made is the same person; leaflets or batch audit audit; cancel the audit by the audit can only cancel the signature signature; a certificate cannot be audited, modify, delete, cancel the audit is only the sign before they can modify or delete.2.3 billingShow the accounting report, for example, you want to pay the vouchers, some documents are not audited or not signed by the cashier, belong to the vouchers can not be accounted for, you can modify the prompt, and then billing. The following interface appears.When the progress bar is complete, the system will pop up and the account will be completed.2.4 period profit and loss carry over definition and transfer generation1. define period profit and loss carry over: click the [transfer definition] under the main menu [end of the system] and click [period gain / loss] to enter this function. Screen display [duration gain / loss setting] interface. At this time, in the "current profit account", enter the profit account for this year, click [determine], define the completion.2. period profit and loss carry over: click "transfer generation" under the system main menu [End], click [period profit and loss carry over] enter this function. The right window shows the [transfer generation] interface. Click [Select], then the system will automatically generate the certificate. At this time, you need to review and record this voucher.Note: the gains and losses during the transfer, check to do thismonth's daily business vouchers are accounting, if not accounting vouchers, in turn, the system will automatically prompt, if have accounting, can be carried forward.2.5 checkoutClick the checkout at the system main menu [end of the month] to enter this function. The screen shows the checkout wizard one - select the checkout month. Click the checkout monthClick "next",The screen display checkout wizard two checks the booksThe button in the "reconciliation", to check the system in checking accounts, in the reconciliation process, according to the "stop" button to suspend reconciliation, reconciliation is completed, click "next", the screen display checkout wizard three monthly report:Reconciliation is completed, click "next", the screen display checkout wizard three monthly report:If you need to print, click "print" to print monthly report. Click "next", the screen display four to complete the checkout checkout WizardIf you meet the requirements of the system will check, check, according to the "checkout" button to complete the work this month.If the bill does not meet the requirements, the system will not check out, appear belowClick "next", see the work report to find the reasons, revised again to check out.Note: checked the month can not fill in the certificate; there is no accounting voucher in the bill not; data backup advice before closing, to ensure the security of the data.2.6 cancellation of account and cancellation of accountA cancel the checkout: in the checkout wizard, you can select the month when you want to cancel the checkout, while holding the [Ctrl+Shift+F6] key on the keyboardB. cancel billing: in the reconciliation interface, while pressing the < Ctrl + H > key on the keyboard, the display / hidden menu will restore the status menu before loggingPress the < Ctrl + H > key before the certificate menu Press < Ctrl + H > after the keyChoose to return to the state at the beginning of the month? UFO report operationI. Introduction of basic concepts of UFIDA reporting system1, the system provides three major reports automatically fetching function: balance sheet, income statement, cash flow statement.2, report editing status: there are two kinds, one is "data" state; one is "format" state (report window left bottom) display.Format: mainly used for report format design, in the format of the state of the operation of this report, all tables and pages have an effect. In the format state, you can't do data entry, calculation and other operations. In this state, you can only see the report format, and all the report data are hidden.Data: mainly used for reporting data processing, through the fetch formula to take out the ledger data, in this state, used to manage the data of the report, such as input, audit data, increase or delete table, and other functions.Formats and data states can be transformed from one another to another3, table page: a UFO report can accommodate up to 9999 table pages, the table page in the "data" status can be increased or deleted, each table page data can be different.Two. Daily operation1., in the local hard disk new "UF report" folder, and then according to account sets and months to establish sub folder, easy to report storage.When 2. or three big reports need to be taken, click on the file above the window of the report window "open" to find the folder where the report is located, and select the folder you want to fetch.3. in the data status, you can automatically fetch from the ledger from the data above the key window - keyword entry - as follows.Take the number from the account: first, in the "data" status, enter the key word, enter units and date, date and other informationTo determine whether the system pop-up prompt retry, point "yes", starting from the system account access4 insert / append / delete table pageIn the data status, click "Edit" - insert "table" page, and others can refer to this method.Note: 1., after each time you take the data, you should pay attention to the preservation, so that next month can be built on the basis of the last few months. At this time you can add or insert a new tableTake the number 2. cash flow statement, need to be adjusted totake the number of system time month, for example: take the data of October, the bottom right - click the computer time, then there will be a window will be changed to October to january.。
用友U8固定资产操作指南

1、固定资产1.1、固定资产应用流程1.2、原始卡片录入原始卡片是指卡片记录的资产开始使用日期的月份先于其录入系统的月份,即已使用过并已计提折旧的固定资产卡片,系统初始化或补录时输入。
操作路径:【业务工作】-【财务会计】-【固定资产】-【卡片】-【录入原始卡片】,1.双击[原始卡片录入],弹出[固定资产档案],选择要录入的固定资产类别,点击[确定]。
2.进入固定资产卡片空白录入界面。
3.按业务录入固定资产卡片并保存。
1.3、资产增加"资产增加"即新增加固定资产卡片,在系统日常使用过程中,除(直接购入)通过其他方式增加企业资产,该部分资产通过"资产增加"操作录入系统。
当固定资产开始使用日期的会计期间=录入会计期间时,才能通过"资产增加"录入。
操作路径:【业务工作】-【财务会计】-【固定资产】-【卡片】-【资产增加】,1.双击[资产增加],弹出[固定资产档案],选择要录入的固定资产类别,点击[确定]。
2.进入固定资产卡片空白录入界面,在录入界面按业务录入固定资产卡片。
1.4、采购资产"采购资产"即直接购入固定资产,在系统日常使用过程中,该部分资产通过"采购资产"操作录入系统。
操作路径:【业务工作】-【财务会计】-【固定资产】-【卡片】-【采购资产】,1.双击[采购资产],点击[选择],点击[增加],2.填入信息,点击[保存],3.自动生成固定资产卡片,填入对应折旧科目,完成直接购入固定资产卡片。
1.5、资产减少资产在使用过程中,总会由于各种原因,如毁损、出售、盘亏等,退出企业,该部分操作做"资产减少"。
操作路径:【业务工作】-【财务会计】-【固定资产】-【卡片】-【资产减少】,1.双击[资产减少]进入资产减少操作窗口,在卡片编号选项中,可以选择原有的固定资产卡片档案,选择要做资产减少的卡片。
用友U8操作手册说明书

用友U8操作手册目录第一部分系统初始化 (3)1.1系统说明 (3)1.2权限说明 (3)1.4系统管理员注册 (4)1.6增加操作员用户 (6)1.7更改账套名称 (8)第二部分总账 (11)2.1系统登录 (11)2.4会计科目调整 (12)2.6录入期初余额 (14)2.7凭证 (17)2.7.1填制凭证 (17)2.7.2作废/整理凭证 (21)2.7.3其他常用功能说明 (23)2.7.4审核凭证 (28)2.7.5查询凭证 (31)2.7.6打印凭证 (34)2.7.7记账与反记账 (37)2.8期末 (41)2.8.1期间损益结转 (41)2.8.3结账与反结账 (43)2.9账表 (45)2.9.1科目账 (45)2.9.2项目往来辅助账 (51)2.9.3账簿打印 (57)3.4设置备份计划 (59)3.5自动账套备份的还原及引入 (60)3.6清除单据锁定 (63)3.7清除系统运行异常 (63)第一部分系统初始化1.1 系统说明业务平台: 主要进行日常的账务处理:记账、结账、凭证及账表的查询打印等操作。
其图标如下:系统管理: 主要进行(1)账套的备份还原, (2)用户的填加, (3)年度账的建立及结转。
等操作。
其图标如下:1.2 权限说明主要指在登陆“系统管理”时可能涉及到的用户及权限:admin:系统管理员(1)账套的备份还原; (2)备份计划的建立; (3)用户的填加;(4)异常任务的清理等。
demo :账套主管(1) 年度账的建立; (2)年度数据的结转等。
系统管理员和账套主管的权限比较(Y代表可以,N代表不可以)主要功能功能选项功能细项系统管理员是否拥有账套主管是否拥有账套主管账套建立Y N 账套修改N Y 账套引入Y N 账套输出Y N 账套数据删除Y N1.4 系统管理员注册点击“系统管理”—“系统”—“注册”如下图:则弹出登陆对话框,如下图:“登录到”栏务必保证是本机的计算机名(在本系统中所有的登录窗口,都必须保证这一点),一般会自动带出,不用作任何修改。
U8标准操作手册

目录1、总账系统..................................... 错误!未定义书签。
1.1凭证管理........................................... 错误!未定义书签。
1.1.1. 凭证录入................................................................................... 错误!未定义书签。
1.1.2. 凭证修改...................................................................................... 错误!未定义书签。
1.1.3. 凭证删除................................................................................... 错误!未定义书签。
1.1.4. 凭证审核................................................................................... 错误!未定义书签。
1.1.5. 出纳签字................................................................................... 错误!未定义书签。
1.1.6. 凭证打印................................................................................... 错误!未定义书签。
1.1.7. 凭证查询................................................................................... 错误!未定义书签。
16用友U8财务软件标准版操作手册

2016用友U8财务软件标准版操作手册目录一、程序安装41.1各个模块流程41.2用友ERP-U8管理软件安装4二、系统管理62.1功能概述62.2.账套管理62.3年度账管理72.4操作员及其权限管理72.5设立统一的安全机制7三、财务基础设置部分7四、财务总账管理84.1总账管理系统与其他系统的主要关系94.2总账管理系统的业务处理流程94.3总账管理系统初始设置104.3.1设置控制参数104.3.2设置基础数据114.3.2.1定义外币及汇率114.3.2.2建立会计科目114.3.2.3设置辅助核算档案124.3.2.4设置凭证类别134.3.2.5设置结算方式134.3.2.6 定义常用凭证及常用摘要134.3.2.7输入期初余额144.4总账管理系统日常业务处理144.4.1凭证管理144.4.1.1填制凭证144.4.1.2审核凭证164.4.1.3 凭证汇总174.4.1.4 凭证记账174.5总账管理系统期末处理184.5.1银行对账184.5.2自动转账194.5.3 对账214.5.4 结账22五、出纳管理225.1出纳签字225.2日记账及资金日报表235.3支票登记簿235.4账簿管理24六、U FO报表管理256.1功能概述254.1.2 UFO报表管理系统与其他系统的主要关系26 6.2 UFO报表管理系统的业务处理流程266.3UFO报表管理系统的基本概念276.5报表制作及处理296.5.1报表定义及报表模板296.5.2报表数据处理316.5.3表页管理及报表输出326.5.4 图表功能32七、薪资管理327.1系统概述327.2薪资管理系统与其他系统的主要关系337.3薪资管理系统的业务处理流程337.4薪资管理系统日常业务处理347.4.1初始设置347.4.2日常处理357.4.3期末处理38八、固定资产管理388.1功能概述388.2固定资产管理系统与其他系统的主要关系398.3固定资产管理系统的业务处理流程398.4固定资产管理系统日常业务处理408.4.1初始设置408.4.2日常处理418.4.3期末处理43-、程序安装1.1各个模块流程图1-1 模块间的数据关系1.2用友ERP-U8管理软件安装(1) 以系统管理员Administrators 身份注册进入系统,将用友ERP-U8管理软件光盘放入服务器的光盘驱动器中,打开光盘目录,双击Setup应用程序文件,稍候,系统显示提示信息,请用户确认计算机中是否已安装U8管理软件必须的系统补丁。
用友U8基本操作手册

用友U8基本操作手册一、系统登录打开用友 U8 软件,在登录界面输入用户名和密码。
用户名一般由系统管理员提前设置好,密码则是您自己设定并牢记的。
输入完成后,点击“登录”按钮即可进入系统。
二、基础档案设置1、部门档案依次点击“基础设置” “机构人员” “部门档案”,进入部门档案设置界面。
点击“增加”按钮,输入部门编码和部门名称等信息,然后点击“保存”。
2、人员档案在“基础设置” “机构人员” “人员档案”中进行人员信息的录入。
包括人员编码、姓名、所属部门等。
3、客户档案选择“基础设置” “客商信息” “客户档案”,点击“增加”录入客户的相关信息,如客户编码、名称、地址、联系方式等。
4、供应商档案同样在“客商信息”中,找到“供应商档案”进行类似的操作来录入供应商的信息。
三、财务模块操作1、总账(1)凭证录入点击“财务会计” “总账” “凭证” “填制凭证”,选择凭证类别,然后依次输入日期、摘要、科目、金额等信息。
(2)凭证审核审核人员登录系统,在“凭证” “审核凭证”中对已录入的凭证进行审核。
(3)记账审核通过的凭证可以进行记账操作,点击“记账”按钮即可。
2、应收款管理(1)应收单据处理包括录入销售发票、其他应收单等。
(2)收款单据处理登记收到的款项。
(3)核销处理将收款与应收款进行核销。
3、应付款管理与应收款管理类似,对应付单据、付款单据进行处理和核销。
四、供应链模块操作1、采购管理(1)采购订单在“采购管理”中录入采购订单,包括供应商、采购物品、数量、价格等。
(2)采购到货货物到达后进行到货登记。
(3)采购入库验收合格的货物办理入库手续。
2、销售管理(1)销售订单录入客户的销售订单信息。
(2)发货单根据销售订单生成发货单。
(3)销售出库发货后进行销售出库操作。
3、库存管理(1)入库业务除了采购入库,还包括其他入库,如盘盈入库等。
(2)出库业务如销售出库、材料领用出库等。
(3)库存盘点定期对库存进行盘点,调整库存数量。
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用友、Users’Friend、UFSOFT、UFERP、U8、NC、iCRM 为用友软件股份有限公司的注册商标。 Windows, Windows NT, SQL Server 是 Microsoft Corporation 的注册商标。 本书中涉及的其他产品商标为相应公司所有。
第 2 章 快速使用向导 ...........................................................................................................................................5 第一步:基础设置 ..............................................................................................................................................5 第二步:资金预测 ..............................................................................................................................................5 第三步:筹投资管理 ..........................................................................................................................................5 第四步:账表管理 ..............................................................................................................................................6
在中华人民共和国印制。
第 1 章 系统介绍 ...................................................................................................................................................1 1.1 产品概述........................................................................................................................................................1 1.2 产品功能........................................................................................................................................................1 1.3 业务流程图....................................................................................................................................................2 1.4 数据流程图....................................................................................................................................................2 1.5 单据编号说明................................................................................................................................................3 1.6 年度结转说明...............................................................................................................................................3
第 3 章 基础设置 ...................................................................................................................................................7 3.1 定义预测指标................................................................................................................................................7 3.1.1 系统预置预测指标 ....................................................................................................................................... 7 3.1.2 总账预测指标 ............................................................................................................................................... 9 3.1.3 自定义预测指标 ......................................................................................................................................... 11 3.2 设置收付款预期..........................................................................................................................................12 3.2.1 平均结算 ..................................................................................................................................................... 12 3.2.2 到期结算 ..................................................................................................................................................... 13 3.2.3 定期结算 ....................................................................................................................... 14 3.2.4 举例说明 ..................................................................................................................................................... 14 3.3 设置预测模版..............................................................................................................................................16 3.4 定义筹投资类别..........................................................................................................................................17 3.5 单位定义......................................................................................................................................................18 3.6 系统选项......................................................................................................................................................19 3.6.1 预报警页签 ................................................................................................................................................. 19 3.6.2 期初余额页签 ............................................................................................................................................. 21