accountancy.lang 27 KB

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  1. # Dolibarr language file - en_US - Accountancy (Double entries)
  2. Accountancy=Accountancy
  3. Accounting=Accounting
  4. ACCOUNTING_EXPORT_SEPARATORCSV=Column separator for export file
  5. ACCOUNTING_EXPORT_DATE=Date format for export file
  6. ACCOUNTING_EXPORT_PIECE=Export the number of piece
  7. ACCOUNTING_EXPORT_GLOBAL_ACCOUNT=Export with global account
  8. ACCOUNTING_EXPORT_LABEL=Export label
  9. ACCOUNTING_EXPORT_AMOUNT=Export amount
  10. ACCOUNTING_EXPORT_DEVISE=Export currency
  11. Selectformat=Select the format for the file
  12. ACCOUNTING_EXPORT_FORMAT=Select the format for the file
  13. ACCOUNTING_EXPORT_ENDLINE=Select the carriage return type
  14. ACCOUNTING_EXPORT_PREFIX_SPEC=Specify the prefix for the file name
  15. ThisService=This service
  16. ThisProduct=This product
  17. DefaultForService=Default for service
  18. DefaultForProduct=Default for product
  19. ProductForThisThirdparty=Product for this thirdparty
  20. ServiceForThisThirdparty=Service for this thirdparty
  21. CantSuggest=Can't suggest
  22. AccountancySetupDoneFromAccountancyMenu=Most setup of the accountancy is done from the menu %s
  23. ConfigAccountingExpert=Configuration of the module accounting (double entry)
  24. Journalization=Journalization
  25. Journals=Journals
  26. JournalFinancial=Financial journals
  27. BackToChartofaccounts=Return chart of accounts
  28. Chartofaccounts=Chart of accounts
  29. ChartOfSubaccounts=Chart of individual accounts
  30. ChartOfIndividualAccountsOfSubsidiaryLedger=Chart of individual accounts of the subsidiary ledger
  31. CurrentDedicatedAccountingAccount=Current dedicated account
  32. AssignDedicatedAccountingAccount=New account to assign
  33. InvoiceLabel=Invoice label
  34. OverviewOfAmountOfLinesNotBound=Overview of amount of lines not bound to an accounting account
  35. OverviewOfAmountOfLinesBound=Overview of amount of lines already bound to an accounting account
  36. OtherInfo=Other information
  37. DeleteCptCategory=Remove accounting account from group
  38. ConfirmDeleteCptCategory=Are you sure you want to remove this accounting account from the accounting account group?
  39. JournalizationInLedgerStatus=Status of journalization
  40. AlreadyInGeneralLedger=Already transferred in accounting journals and ledger
  41. NotYetInGeneralLedger=Not yet transferred in accouting journals and ledger
  42. GroupIsEmptyCheckSetup=Group is empty, check setup of the personalized accounting group
  43. DetailByAccount=Show detail by account
  44. AccountWithNonZeroValues=Accounts with non-zero values
  45. ListOfAccounts=List of accounts
  46. CountriesInEEC=Countries in EEC
  47. CountriesNotInEEC=Countries not in EEC
  48. CountriesInEECExceptMe=Countries in EEC except %s
  49. CountriesExceptMe=All countries except %s
  50. AccountantFiles=Export source documents
  51. ExportAccountingSourceDocHelp=With this tool, you can export the source events (list in CSV and PDFs) that were used to generate your accountancy.
  52. ExportAccountingSourceDocHelp2=To export your journals, use the menu entry %s - %s.
  53. VueByAccountAccounting=View by accounting account
  54. VueBySubAccountAccounting=View by accounting subaccount
  55. MainAccountForCustomersNotDefined=Main accounting account for customers not defined in setup
  56. MainAccountForSuppliersNotDefined=Main accounting account for vendors not defined in setup
  57. MainAccountForUsersNotDefined=Main accounting account for users not defined in setup
  58. MainAccountForVatPaymentNotDefined=Main accounting account for VAT payment not defined in setup
  59. MainAccountForSubscriptionPaymentNotDefined=Main accounting account for subscription payment not defined in setup
  60. AccountancyArea=Accounting area
  61. AccountancyAreaDescIntro=Usage of the accountancy module is done in several step:
  62. AccountancyAreaDescActionOnce=The following actions are usually executed one time only, or once per year...
  63. AccountancyAreaDescActionOnceBis=Next steps should be done to save you time in future by suggesting you the correct default accounting account when making the journalization (writing record in Journals and General ledger)
  64. AccountancyAreaDescActionFreq=The following actions are usually executed every month, week or day for very large companies...
  65. AccountancyAreaDescJournalSetup=STEP %s: Create or check content of your journal list from menu %s
  66. AccountancyAreaDescChartModel=STEP %s: Check that a model of chart of account exists or create one from menu %s
  67. AccountancyAreaDescChart=STEP %s: Select and|or complete your chart of account from menu %s
  68. AccountancyAreaDescVat=STEP %s: Define accounting accounts for each VAT Rates. For this, use the menu entry %s.
  69. AccountancyAreaDescDefault=STEP %s: Define default accounting accounts. For this, use the menu entry %s.
  70. AccountancyAreaDescExpenseReport=STEP %s: Define default accounting accounts for each type of expense report. For this, use the menu entry %s.
  71. AccountancyAreaDescSal=STEP %s: Define default accounting accounts for payment of salaries. For this, use the menu entry %s.
  72. AccountancyAreaDescContrib=STEP %s: Define default accounting accounts for special expenses (miscellaneous taxes). For this, use the menu entry %s.
  73. AccountancyAreaDescDonation=STEP %s: Define default accounting accounts for donation. For this, use the menu entry %s.
  74. AccountancyAreaDescSubscription=STEP %s: Define default accounting accounts for member subscription. For this, use the menu entry %s.
  75. AccountancyAreaDescMisc=STEP %s: Define mandatory default account and default accounting accounts for miscellaneous transactions. For this, use the menu entry %s.
  76. AccountancyAreaDescLoan=STEP %s: Define default accounting accounts for loans. For this, use the menu entry %s.
  77. AccountancyAreaDescBank=STEP %s: Define accounting accounts and journal code for each bank and financial accounts. For this, use the menu entry %s.
  78. AccountancyAreaDescProd=STEP %s: Define accounting accounts on your products/services. For this, use the menu entry %s.
  79. AccountancyAreaDescBind=STEP %s: Check the binding between existing %s lines and accounting account is done, so application will be able to journalize transactions in Ledger in one click. Complete missing bindings. For this, use the menu entry %s.
  80. AccountancyAreaDescWriteRecords=STEP %s: Write transactions into the Ledger. For this, go into menu <strong>%s</strong>, and click into button <strong>%s</strong>.
  81. AccountancyAreaDescAnalyze=STEP %s: Add or edit existing transactions and generate reports and exports.
  82. AccountancyAreaDescClosePeriod=STEP %s: Close period so we can't make modification in a future.
  83. TheJournalCodeIsNotDefinedOnSomeBankAccount=A mandatory step in setup has not been completed (accounting code journal not defined for all bank accounts)
  84. Selectchartofaccounts=Select active chart of accounts
  85. ChangeAndLoad=Change and load
  86. Addanaccount=Add an accounting account
  87. AccountAccounting=Accounting account
  88. AccountAccountingShort=Account
  89. SubledgerAccount=Subledger account
  90. SubledgerAccountLabel=Subledger account label
  91. ShowAccountingAccount=Show accounting account
  92. ShowAccountingJournal=Show accounting journal
  93. ShowAccountingAccountInLedger=Show accounting account in ledger
  94. ShowAccountingAccountInJournals=Show accounting account in journals
  95. AccountAccountingSuggest=Accounting account suggested
  96. MenuDefaultAccounts=Default accounts
  97. MenuBankAccounts=Bank accounts
  98. MenuVatAccounts=Vat accounts
  99. MenuTaxAccounts=Tax accounts
  100. MenuExpenseReportAccounts=Expense report accounts
  101. MenuLoanAccounts=Loan accounts
  102. MenuProductsAccounts=Product accounts
  103. MenuClosureAccounts=Closure accounts
  104. MenuAccountancyClosure=Closure
  105. MenuAccountancyValidationMovements=Validate movements
  106. ProductsBinding=Products accounts
  107. TransferInAccounting=Transfer in accounting
  108. RegistrationInAccounting=Registration in accounting
  109. Binding=Binding to accounts
  110. CustomersVentilation=Customer invoice binding
  111. SuppliersVentilation=Vendor invoice binding
  112. ExpenseReportsVentilation=Expense report binding
  113. CreateMvts=Create new transaction
  114. UpdateMvts=Modification of a transaction
  115. ValidTransaction=Validate transaction
  116. WriteBookKeeping=Register transactions in accounting
  117. Bookkeeping=Ledger
  118. BookkeepingSubAccount=Subledger
  119. AccountBalance=Account balance
  120. ObjectsRef=Source object ref
  121. CAHTF=Total purchase vendor before tax
  122. TotalExpenseReport=Total expense report
  123. InvoiceLines=Lines of invoices to bind
  124. InvoiceLinesDone=Bound lines of invoices
  125. ExpenseReportLines=Lines of expense reports to bind
  126. ExpenseReportLinesDone=Bound lines of expense reports
  127. IntoAccount=Bind line with the accounting account
  128. TotalForAccount=Total accounting account
  129. Ventilate=Bind
  130. LineId=Id line
  131. Processing=Processing
  132. EndProcessing=Process terminated.
  133. SelectedLines=Selected lines
  134. Lineofinvoice=Line of invoice
  135. LineOfExpenseReport=Line of expense report
  136. NoAccountSelected=No accounting account selected
  137. VentilatedinAccount=Binded successfully to the accounting account
  138. NotVentilatedinAccount=Not bound to the accounting account
  139. XLineSuccessfullyBinded=%s products/services successfully bound to an accounting account
  140. XLineFailedToBeBinded=%s products/services were not bound to any accounting account
  141. ACCOUNTING_LIMIT_LIST_VENTILATION=Maximum number of lines on list and bind page (recommended: 50)
  142. ACCOUNTING_LIST_SORT_VENTILATION_TODO=Begin the sorting of the page "Binding to do" by the most recent elements
  143. ACCOUNTING_LIST_SORT_VENTILATION_DONE=Begin the sorting of the page "Binding done" by the most recent elements
  144. ACCOUNTING_LENGTH_DESCRIPTION=Truncate product & services description in listings after x chars (Best = 50)
  145. ACCOUNTING_LENGTH_DESCRIPTION_ACCOUNT=Truncate product & services account description form in listings after x chars (Best = 50)
  146. ACCOUNTING_LENGTH_GACCOUNT=Length of the general accounting accounts (If you set value to 6 here, the account '706' will appear like '706000' on screen)
  147. ACCOUNTING_LENGTH_AACCOUNT=Length of the third-party accounting accounts (If you set value to 6 here, the account '401' will appear like '401000' on screen)
  148. ACCOUNTING_MANAGE_ZERO=Allow to manage different number of zeros at the end of an accounting account. Needed by some countries (like Switzerland). If set to off (default), you can set the following two parameters to ask the application to add virtual zeros.
  149. BANK_DISABLE_DIRECT_INPUT=Disable direct recording of transaction in bank account
  150. ACCOUNTING_ENABLE_EXPORT_DRAFT_JOURNAL=Enable draft export on journal
  151. ACCOUNTANCY_COMBO_FOR_AUX=Enable combo list for subsidiary account (may be slow if you have a lot of third parties, break ability to search on a part of value)
  152. ACCOUNTING_DATE_START_BINDING=Define a date to start binding & transfer in accountancy. Below this date, the transactions will not be transferred to accounting.
  153. ACCOUNTING_DEFAULT_PERIOD_ON_TRANSFER=On accountancy transfer, select period show by default
  154. ACCOUNTING_SELL_JOURNAL=Sell journal
  155. ACCOUNTING_PURCHASE_JOURNAL=Purchase journal
  156. ACCOUNTING_MISCELLANEOUS_JOURNAL=Miscellaneous journal
  157. ACCOUNTING_EXPENSEREPORT_JOURNAL=Expense report journal
  158. ACCOUNTING_SOCIAL_JOURNAL=Social journal
  159. ACCOUNTING_HAS_NEW_JOURNAL=Has new Journal
  160. ACCOUNTING_RESULT_PROFIT=Result accounting account (Profit)
  161. ACCOUNTING_RESULT_LOSS=Result accounting account (Loss)
  162. ACCOUNTING_CLOSURE_DEFAULT_JOURNAL=Journal of closure
  163. ACCOUNTING_ACCOUNT_TRANSFER_CASH=Accounting account of transitional bank transfer
  164. TransitionalAccount=Transitional bank transfer account
  165. ACCOUNTING_ACCOUNT_SUSPENSE=Accounting account of wait
  166. DONATION_ACCOUNTINGACCOUNT=Accounting account to register donations
  167. ADHERENT_SUBSCRIPTION_ACCOUNTINGACCOUNT=Accounting account to register subscriptions
  168. ACCOUNTING_ACCOUNT_CUSTOMER_DEPOSIT=Accounting account by default to register customer deposit
  169. ACCOUNTING_PRODUCT_BUY_ACCOUNT=Accounting account by default for the bought products (used if not defined in the product sheet)
  170. ACCOUNTING_PRODUCT_BUY_INTRA_ACCOUNT=Accounting account by default for the bought products in EEC (used if not defined in the product sheet)
  171. ACCOUNTING_PRODUCT_BUY_EXPORT_ACCOUNT=Accounting account by default for the bought products and imported out of EEC (used if not defined in the product sheet)
  172. ACCOUNTING_PRODUCT_SOLD_ACCOUNT=Accounting account by default for the sold products (used if not defined in the product sheet)
  173. ACCOUNTING_PRODUCT_SOLD_INTRA_ACCOUNT=Accounting account by default for the products sold in EEC (used if not defined in the product sheet)
  174. ACCOUNTING_PRODUCT_SOLD_EXPORT_ACCOUNT=Accounting account by default for the products sold and exported out of EEC (used if not defined in the product sheet)
  175. ACCOUNTING_SERVICE_BUY_ACCOUNT=Accounting account by default for the bought services (used if not defined in the service sheet)
  176. ACCOUNTING_SERVICE_BUY_INTRA_ACCOUNT=Accounting account by default for the bought services in EEC (used if not defined in the service sheet)
  177. ACCOUNTING_SERVICE_BUY_EXPORT_ACCOUNT=Accounting account by default for the bought services and imported out of EEC (used if not defined in the service sheet)
  178. ACCOUNTING_SERVICE_SOLD_ACCOUNT=Accounting account by default for the sold services (used if not defined in the service sheet)
  179. ACCOUNTING_SERVICE_SOLD_INTRA_ACCOUNT=Accounting account by default for the services sold in EEC (used if not defined in the service sheet)
  180. ACCOUNTING_SERVICE_SOLD_EXPORT_ACCOUNT=Accounting account by default for the services sold and exported out of EEC (used if not defined in the service sheet)
  181. Doctype=Type of document
  182. Docdate=Date
  183. Docref=Reference
  184. LabelAccount=Label account
  185. LabelOperation=Label operation
  186. Sens=Direction
  187. AccountingDirectionHelp=For an accounting account of a customer, use Credit to record a payment you have received<br>For an accounting account of a supplier, use Debit to record a payment you made
  188. LetteringCode=Lettering code
  189. Lettering=Lettering
  190. Codejournal=Journal
  191. JournalLabel=Journal label
  192. NumPiece=Piece number
  193. TransactionNumShort=Num. transaction
  194. AccountingCategory=Custom group
  195. GroupByAccountAccounting=Group by general ledger account
  196. GroupBySubAccountAccounting=Group by subledger account
  197. AccountingAccountGroupsDesc=You can define here some groups of accounting account. They will be used for personalized accounting reports.
  198. ByAccounts=By accounts
  199. ByPredefinedAccountGroups=By predefined groups
  200. ByPersonalizedAccountGroups=By personalized groups
  201. ByYear=By year
  202. NotMatch=Not Set
  203. DeleteMvt=Delete some operation lines from accounting
  204. DelMonth=Month to delete
  205. DelYear=Year to delete
  206. DelJournal=Journal to delete
  207. ConfirmDeleteMvt=This will delete all operation lines of the accounting for the year/month and/or for a specific journal (At least one criterion is required). You will have to reuse the feature '%s' to have the deleted record back in the ledger.
  208. ConfirmDeleteMvtPartial=This will delete the transaction from the accounting (all operation lines related to the same transaction will be deleted)
  209. FinanceJournal=Finance journal
  210. ExpenseReportsJournal=Expense reports journal
  211. DescFinanceJournal=Finance journal including all the types of payments by bank account
  212. DescJournalOnlyBindedVisible=This is a view of record that are bound to an accounting account and can be recorded into the Journals and Ledger.
  213. VATAccountNotDefined=Account for VAT not defined
  214. ThirdpartyAccountNotDefined=Account for third party not defined
  215. ProductAccountNotDefined=Account for product not defined
  216. FeeAccountNotDefined=Account for fee not defined
  217. BankAccountNotDefined=Account for bank not defined
  218. CustomerInvoicePayment=Payment of invoice customer
  219. ThirdPartyAccount=Third-party account
  220. NewAccountingMvt=New transaction
  221. NumMvts=Numero of transaction
  222. ListeMvts=List of movements
  223. ErrorDebitCredit=Debit and Credit cannot have a value at the same time
  224. AddCompteFromBK=Add accounting accounts to the group
  225. ReportThirdParty=List third-party account
  226. DescThirdPartyReport=Consult here the list of third-party customers and vendors and their accounting accounts
  227. ListAccounts=List of the accounting accounts
  228. UnknownAccountForThirdparty=Unknown third-party account. We will use %s
  229. UnknownAccountForThirdpartyBlocking=Unknown third-party account. Blocking error
  230. ThirdpartyAccountNotDefinedOrThirdPartyUnknown=Subledger account not defined or third party or user unknown. We will use %s
  231. ThirdpartyAccountNotDefinedOrThirdPartyUnknownSubledgerIgnored=Third-party unknown and subledger not defined on the payment. We will keep the subledger account value empty.
  232. ThirdpartyAccountNotDefinedOrThirdPartyUnknownBlocking=Subledger account not defined or third party or user unknown. Blocking error.
  233. UnknownAccountForThirdpartyAndWaitingAccountNotDefinedBlocking=Unknown third-party account and waiting account not defined. Blocking error
  234. PaymentsNotLinkedToProduct=Payment not linked to any product / service
  235. OpeningBalance=Opening balance
  236. ShowOpeningBalance=Show opening balance
  237. HideOpeningBalance=Hide opening balance
  238. ShowSubtotalByGroup=Show subtotal by level
  239. Pcgtype=Group of account
  240. PcgtypeDesc=Group of account are used as predefined 'filter' and 'grouping' criteria for some accounting reports. For example, 'INCOME' or 'EXPENSE' are used as groups for accounting accounts of products to build the expense/income report.
  241. Reconcilable=Reconcilable
  242. TotalVente=Total turnover before tax
  243. TotalMarge=Total sales margin
  244. DescVentilCustomer=Consult here the list of customer invoice lines bound (or not) to a product accounting account
  245. DescVentilMore=In most cases, if you use predefined products or services and you set the account number on the product/service card, the application will be able to make all the binding between your invoice lines and the accounting account of your chart of accounts, just in one click with the button <strong>"%s"</strong>. If account was not set on product/service cards or if you still have some lines not bound to an account, you will have to make a manual binding from the menu "<strong>%s</strong>".
  246. DescVentilDoneCustomer=Consult here the list of the lines of invoices customers and their product accounting account
  247. DescVentilTodoCustomer=Bind invoice lines not already bound with a product accounting account
  248. ChangeAccount=Change the product/service accounting account for selected lines with the following accounting account:
  249. Vide=-
  250. DescVentilSupplier=Consult here the list of vendor invoice lines bound or not yet bound to a product accounting account (only record not already transfered in accountancy are visible)
  251. DescVentilDoneSupplier=Consult here the list of the lines of vendor invoices and their accounting account
  252. DescVentilTodoExpenseReport=Bind expense report lines not already bound with a fee accounting account
  253. DescVentilExpenseReport=Consult here the list of expense report lines bound (or not) to a fee accounting account
  254. DescVentilExpenseReportMore=If you setup accounting account on type of expense report lines, the application will be able to make all the binding between your expense report lines and the accounting account of your chart of accounts, just in one click with the button <strong>"%s"</strong>. If account was not set on fees dictionary or if you still have some lines not bound to any account, you will have to make a manual binding from the menu "<strong>%s</strong>".
  255. DescVentilDoneExpenseReport=Consult here the list of the lines of expenses reports and their fees accounting account
  256. Closure=Annual closure
  257. DescClosure=Consult here the number of movements by month who are not validated & fiscal years already open
  258. OverviewOfMovementsNotValidated=Step 1/ Overview of movements not validated. (Necessary to close a fiscal year)
  259. AllMovementsWereRecordedAsValidated=All movements were recorded as validated
  260. NotAllMovementsCouldBeRecordedAsValidated=Not all movements could be recorded as validated
  261. ValidateMovements=Validate movements
  262. DescValidateMovements=Any modification or deletion of writing, lettering and deletes will be prohibited. All entries for an exercise must be validated otherwise closing will not be possible
  263. ValidateHistory=Bind Automatically
  264. AutomaticBindingDone=Automatic binding done
  265. ErrorAccountancyCodeIsAlreadyUse=Error, you cannot delete this accounting account because it is used
  266. MvtNotCorrectlyBalanced=Movement not correctly balanced. Debit = %s | Credit = %s
  267. Balancing=Balancing
  268. FicheVentilation=Binding card
  269. GeneralLedgerIsWritten=Transactions are written in the Ledger
  270. GeneralLedgerSomeRecordWasNotRecorded=Some of the transactions could not be journalized. If there is no other error message, this is probably because they were already journalized.
  271. NoNewRecordSaved=No more record to journalize
  272. ListOfProductsWithoutAccountingAccount=List of products not bound to any accounting account
  273. ChangeBinding=Change the binding
  274. Accounted=Accounted in ledger
  275. NotYetAccounted=Not yet accounted in the ledger
  276. ShowTutorial=Show Tutorial
  277. NotReconciled=Not reconciled
  278. WarningRecordWithoutSubledgerAreExcluded=Warning, all operations without subledger account defined are filtered and excluded from this view
  279. ## Admin
  280. BindingOptions=Binding options
  281. ApplyMassCategories=Apply mass categories
  282. AddAccountFromBookKeepingWithNoCategories=Available account not yet in the personalized group
  283. CategoryDeleted=Category for the accounting account has been removed
  284. AccountingJournals=Accounting journals
  285. AccountingJournal=Accounting journal
  286. NewAccountingJournal=New accounting journal
  287. ShowAccountingJournal=Show accounting journal
  288. NatureOfJournal=Nature of Journal
  289. AccountingJournalType1=Miscellaneous operations
  290. AccountingJournalType2=Sales
  291. AccountingJournalType3=Purchases
  292. AccountingJournalType4=Bank
  293. AccountingJournalType5=Expenses report
  294. AccountingJournalType8=Inventory
  295. AccountingJournalType9=Has-new
  296. ErrorAccountingJournalIsAlreadyUse=This journal is already use
  297. AccountingAccountForSalesTaxAreDefinedInto=Note: Accounting account for Sales tax are defined into menu <b>%s</b> - <b>%s</b>
  298. NumberOfAccountancyEntries=Number of entries
  299. NumberOfAccountancyMovements=Number of movements
  300. ACCOUNTING_DISABLE_BINDING_ON_SALES=Disable binding & transfer in accountancy on sales (customer invoices will not be taken into account in accounting)
  301. ACCOUNTING_DISABLE_BINDING_ON_PURCHASES=Disable binding & transfer in accountancy on purchases (vendor invoices will not be taken into account in accounting)
  302. ACCOUNTING_DISABLE_BINDING_ON_EXPENSEREPORTS=Disable binding & transfer in accountancy on expense reports (expense reports will not be taken into account in accounting)
  303. ## Export
  304. NotifiedExportDate=Notified export date (modification of the entries will not be possible)
  305. NotifiedValidationDate=Validation of the entries (modification or deletion of the entries will not be possible)
  306. ConfirmExportFile=Confirmation of the generation of the accounting export file ?
  307. ExportDraftJournal=Export draft journal
  308. Modelcsv=Model of export
  309. Selectmodelcsv=Select a model of export
  310. Modelcsv_normal=Classic export
  311. Modelcsv_CEGID=Export for CEGID Expert Comptabilité
  312. Modelcsv_COALA=Export for Sage Coala
  313. Modelcsv_bob50=Export for Sage BOB 50
  314. Modelcsv_ciel=Export for Sage50, Ciel Compta or Compta Evo. (Format XIMPORT)
  315. Modelcsv_quadratus=Export for Quadratus QuadraCompta
  316. Modelcsv_ebp=Export for EBP
  317. Modelcsv_cogilog=Export for Cogilog
  318. Modelcsv_agiris=Export for Agiris
  319. Modelcsv_LDCompta=Export for LD Compta (v9) (Test)
  320. Modelcsv_LDCompta10=Export for LD Compta (v10 & higher)
  321. Modelcsv_openconcerto=Export for OpenConcerto (Test)
  322. Modelcsv_configurable=Export CSV Configurable
  323. Modelcsv_FEC=Export FEC
  324. Modelcsv_FEC2=Export FEC (With dates generation writing / document reversed)
  325. Modelcsv_Sage50_Swiss=Export for Sage 50 Switzerland
  326. Modelcsv_winfic=Export Winfic - eWinfic - WinSis Compta
  327. Modelcsv_Gestinumv3=Export for Gestinum (v3)
  328. Modelcsv_Gestinumv5Export for Gestinum (v5)
  329. ChartofaccountsId=Chart of accounts Id
  330. ## Tools - Init accounting account on product / service
  331. InitAccountancy=Init accountancy
  332. InitAccountancyDesc=This page can be used to initialize an accounting account on products and services that does not have accounting account defined for sales and purchases.
  333. DefaultBindingDesc=This page can be used to set a default account to use to link transactions record about payment salaries, donation, taxes and vat when no specific accounting account were already set.
  334. DefaultClosureDesc=This page can be used to set parameters used for accounting closures.
  335. Options=Options
  336. OptionModeProductSell=Mode sales
  337. OptionModeProductSellIntra=Mode sales exported in EEC
  338. OptionModeProductSellExport=Mode sales exported in other countries
  339. OptionModeProductBuy=Mode purchases
  340. OptionModeProductBuyIntra=Mode purchases imported in EEC
  341. OptionModeProductBuyExport=Mode purchased imported from other countries
  342. OptionModeProductSellDesc=Show all products with accounting account for sales.
  343. OptionModeProductSellIntraDesc=Show all products with accounting account for sales in EEC.
  344. OptionModeProductSellExportDesc=Show all products with accounting account for other foreign sales.
  345. OptionModeProductBuyDesc=Show all products with accounting account for purchases.
  346. OptionModeProductBuyIntraDesc=Show all products with accounting account for purchases in EEC.
  347. OptionModeProductBuyExportDesc=Show all products with accounting account for other foreign purchases.
  348. CleanFixHistory=Remove accounting code from lines that not exists into charts of account
  349. CleanHistory=Reset all bindings for selected year
  350. PredefinedGroups=Predefined groups
  351. WithoutValidAccount=Without valid dedicated account
  352. WithValidAccount=With valid dedicated account
  353. ValueNotIntoChartOfAccount=This value of accounting account does not exist into chart of account
  354. AccountRemovedFromGroup=Account removed from group
  355. SaleLocal=Local sale
  356. SaleExport=Export sale
  357. SaleEEC=Sale in EEC
  358. SaleEECWithVAT=Sale in EEC with a VAT not null, so we suppose this is NOT an intracommunautary sale and the suggested account is the standard product account.
  359. SaleEECWithoutVATNumber=Sale in EEC with no VAT but the VAT ID of thirdparty is not defined. We fallback on the product account for standard sales. You can fix the VAT ID of thirdparty or the product account if needed.
  360. ## Dictionary
  361. Range=Range of accounting account
  362. Calculated=Calculated
  363. Formula=Formula
  364. ## Error
  365. SomeMandatoryStepsOfSetupWereNotDone=Some mandatory steps of setup was not done, please complete them
  366. ErrorNoAccountingCategoryForThisCountry=No accounting account group available for country %s (See Home - Setup - Dictionaries)
  367. ErrorInvoiceContainsLinesNotYetBounded=You try to journalize some lines of the invoice <strong>%s</strong>, but some other lines are not yet bounded to accounting account. Journalization of all invoice lines for this invoice are refused.
  368. ErrorInvoiceContainsLinesNotYetBoundedShort=Some lines on invoice are not bound to accounting account.
  369. ExportNotSupported=The export format setuped is not supported into this page
  370. BookeppingLineAlreayExists=Lines already existing into bookkeeping
  371. NoJournalDefined=No journal defined
  372. Binded=Lines bound
  373. ToBind=Lines to bind
  374. UseMenuToSetBindindManualy=Lines not yet bound, use menu <a href="%s">%s</a> to make the binding manually
  375. ## Import
  376. ImportAccountingEntries=Accounting entries
  377. ImportAccountingEntriesFECFormat=Accounting entries - FEC format
  378. FECFormatJournalCode=Code journal (JournalCode)
  379. FECFormatJournalLabel=Label journal (JournalLib)
  380. FECFormatEntryNum=Piece number (EcritureNum)
  381. FECFormatEntryDate=Piece date (EcritureDate)
  382. FECFormatGeneralAccountNumber=General account number (CompteNum)
  383. FECFormatGeneralAccountLabel=General account label (CompteLib)
  384. FECFormatSubledgerAccountNumber=Subledger account number (CompAuxNum)
  385. FECFormatSubledgerAccountLabel=Subledger account number (CompAuxLib)
  386. FECFormatPieceRef=Piece ref (PieceRef)
  387. FECFormatPieceDate=Piece date creation (PieceDate)
  388. FECFormatLabelOperation=Label operation (EcritureLib)
  389. FECFormatDebit=Debit (Debit)
  390. FECFormatCredit=Credit (Credit)
  391. FECFormatReconcilableCode=Reconcilable code (EcritureLet)
  392. FECFormatReconcilableDate=Reconcilable date (DateLet)
  393. FECFormatValidateDate=Piece date validated (ValidDate)
  394. FECFormatMulticurrencyAmount=Multicurrency amount (Montantdevise)
  395. FECFormatMulticurrencyCode=Multicurrency code (Idevise)
  396. DateExport=Date export
  397. WarningReportNotReliable=Warning, this report is not based on the Ledger, so does not contains transaction modified manually in the Ledger. If your journalization is up to date, the bookkeeping view is more accurate.
  398. ExpenseReportJournal=Expense Report Journal
  399. InventoryJournal=Inventory Journal
  400. NAccounts=%s accounts