compta.lang 14 KB

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  1. # Dolibarr language file - Source file is en_US - compta
  2. MenuFinancial=Billing | Payment
  3. TaxModuleSetupToModifyRules=Go to <a href="%s">Taxes module setup</a> to modify rules for calculation
  4. TaxModuleSetupToModifyRulesLT=Go to <a href="%s">Company setup</a> to modify rules for calculation
  5. OptionMode=Option for accountancy
  6. OptionModeTrue=Option Incomes-Expenses
  7. OptionModeVirtual=Option Claims-Debts
  8. OptionModeTrueDesc=In this context, the turnover is calculated over payments (date of payments). The validity of the figures is assured only if the book-keeping is scrutinized through the input/output on the accounts via invoices.
  9. OptionModeVirtualDesc=In this context, the turnover is calculated over invoices (date of validation). When these invoices are due, whether they have been paid or not, they are listed in the turnover output.
  10. FeatureIsSupportedInInOutModeOnly=Feature only available in CREDITS-DEBTS accountancy mode (See Accountancy module configuration)
  11. VATReportBuildWithOptionDefinedInModule=Amounts shown here are calculated using rules defined by Tax module setup.
  12. LTReportBuildWithOptionDefinedInModule=Amounts shown here are calculated using rules defined by Company setup.
  13. Param=Setup
  14. RemainingAmountPayment=Amount payment remaining :
  15. Account=Account
  16. Accountparent=Parent account
  17. Accountsparent=Parent accounts
  18. Income=Income
  19. Outcome=Expense
  20. MenuReportInOut=Income / Expense
  21. ReportInOut=Balance of income and expenses
  22. ReportTurnover=Turnover
  23. PaymentsNotLinkedToInvoice=Payments not linked to any invoice, so not linked to any third party
  24. PaymentsNotLinkedToUser=Payments not linked to any user
  25. Profit=Profit
  26. AccountingResult=Accounting result
  27. BalanceBefore=Balance (before)
  28. Balance=Balance
  29. Debit=Debit
  30. Credit=Credit
  31. Piece=Accounting Doc.
  32. AmountHTVATRealReceived=Net collected
  33. AmountHTVATRealPaid=Net paid
  34. VATToPay=Tax sales
  35. VATReceived=Tax received
  36. VATToCollect=Tax purchases
  37. VATSummary=Tax Balance
  38. VATPaid=Tax paid
  39. LT1Summary=Tax 2 summary
  40. LT2Summary=Tax 3 summary
  41. LT1SummaryES=RE Balance
  42. LT2SummaryES=IRPF Balance
  43. LT1SummaryIN=CGST Balance
  44. LT2SummaryIN=SGST Balance
  45. LT1Paid=Tax 2 paid
  46. LT2Paid=Tax 3 paid
  47. LT1PaidES=RE Paid
  48. LT2PaidES=IRPF Paid
  49. LT1PaidIN=CGST Paid
  50. LT2PaidIN=SGST Paid
  51. LT1Customer=Tax 2 sales
  52. LT1Supplier=Tax 2 purchases
  53. LT1CustomerES=RE sales
  54. LT1SupplierES=RE purchases
  55. LT1CustomerIN=CGST sales
  56. LT1SupplierIN=CGST purchases
  57. LT2Customer=Tax 3 sales
  58. LT2Supplier=Tax 3 purchases
  59. LT2CustomerES=IRPF sales
  60. LT2SupplierES=IRPF purchases
  61. LT2CustomerIN=SGST sales
  62. LT2SupplierIN=SGST purchases
  63. VATCollected=VAT collected
  64. ToPay=To pay
  65. SpecialExpensesArea=Area for all special payments
  66. SocialContribution=Social or fiscal tax
  67. SocialContributions=Social or fiscal taxes
  68. SocialContributionsDeductibles=Deductible social or fiscal taxes
  69. SocialContributionsNondeductibles=Nondeductible social or fiscal taxes
  70. LabelContrib=Label contribution
  71. TypeContrib=Type contribution
  72. MenuSpecialExpenses=Special expenses
  73. MenuTaxAndDividends=Taxes and dividends
  74. MenuSocialContributions=Social/fiscal taxes
  75. MenuNewSocialContribution=New social/fiscal tax
  76. NewSocialContribution=New social/fiscal tax
  77. AddSocialContribution=Add social/fiscal tax
  78. ContributionsToPay=Social/fiscal taxes to pay
  79. AccountancyTreasuryArea=Accountancy/Treasury area
  80. NewPayment=New payment
  81. Payments=Payments
  82. PaymentCustomerInvoice=Customer invoice payment
  83. PaymentSupplierInvoice=Vendor invoice payment
  84. PaymentSocialContribution=Social/fiscal tax payment
  85. PaymentVat=VAT payment
  86. ListPayment=List of payments
  87. ListOfCustomerPayments=List of customer payments
  88. ListOfSupplierPayments=List of vendor payments
  89. DateStartPeriod=Date start period
  90. DateEndPeriod=Date end period
  91. newLT1Payment=New tax 2 payment
  92. newLT2Payment=New tax 3 payment
  93. LT1Payment=Tax 2 payment
  94. LT1Payments=Tax 2 payments
  95. LT2Payment=Tax 3 payment
  96. LT2Payments=Tax 3 payments
  97. newLT1PaymentES=New RE payment
  98. newLT2PaymentES=New IRPF payment
  99. LT1PaymentES=RE Payment
  100. LT1PaymentsES=RE Payments
  101. LT2PaymentES=IRPF Payment
  102. LT2PaymentsES=IRPF Payments
  103. VATPayment=Sales tax payment
  104. VATPayments=Sales tax payments
  105. VATRefund=Sales tax refund
  106. NewVATPayment=New sales tax payment
  107. Refund=Refund
  108. SocialContributionsPayments=Social/fiscal taxes payments
  109. ShowVatPayment=Show VAT payment
  110. TotalToPay=Total to pay
  111. BalanceVisibilityDependsOnSortAndFilters=Balance is visible in this list only if table is sorted ascending on %s and filtered for 1 bank account
  112. CustomerAccountancyCode=Customer accounting code
  113. SupplierAccountancyCode=Vendor accounting code
  114. CustomerAccountancyCodeShort=Cust. account. code
  115. SupplierAccountancyCodeShort=Sup. account. code
  116. AccountNumber=Account number
  117. NewAccountingAccount=New account
  118. SalesTurnover=Sales turnover
  119. SalesTurnoverMinimum=Minimum sales turnover
  120. ByExpenseIncome=By expenses & incomes
  121. ByThirdParties=By third parties
  122. ByUserAuthorOfInvoice=By invoice author
  123. CheckReceipt=Check deposit
  124. CheckReceiptShort=Check deposit
  125. LastCheckReceiptShort=Latest %s check receipts
  126. NewCheckReceipt=New discount
  127. NewCheckDeposit=New check deposit
  128. NewCheckDepositOn=Create receipt for deposit on account: %s
  129. NoWaitingChecks=No checks awaiting deposit.
  130. DateChequeReceived=Check reception date
  131. NbOfCheques=Nb of checks
  132. PaySocialContribution=Pay a social/fiscal tax
  133. ConfirmPaySocialContribution=Are you sure you want to classify this social or fiscal tax as paid?
  134. DeleteSocialContribution=Delete a social or fiscal tax payment
  135. ConfirmDeleteSocialContribution=Are you sure you want to delete this social/fiscal tax payment?
  136. ExportDataset_tax_1=Social and fiscal taxes and payments
  137. CalcModeVATDebt=Mode <b>%sVAT on commitment accounting%s</b>.
  138. CalcModeVATEngagement=Mode <b>%sVAT on incomes-expenses%s</b>.
  139. CalcModeDebt=Mode <b>%sClaims-Debts%s</b> said <b>Commitment accounting</b>.
  140. CalcModeEngagement=Mode <b>%sIncomes-Expenses%s</b> said <b>cash accounting</b>
  141. CalcModeBookkeeping=Analysis of <b>data journalized in Bookkeeping Ledger table</b>
  142. CalcModeLT1= Mode <b>%sRE on customer invoices - suppliers invoices%s</b>
  143. CalcModeLT1Debt=Mode <b>%sRE on customer invoices%s</b>
  144. CalcModeLT1Rec= Mode <b>%sRE on suppliers invoices%s</b>
  145. CalcModeLT2= Mode <b>%sIRPF on customer invoices - suppliers invoices%s</b>
  146. CalcModeLT2Debt=Mode <b>%sIRPF on customer invoices%s</b>
  147. CalcModeLT2Rec= Mode <b>%sIRPF on suppliers invoices%s</b>
  148. AnnualSummaryDueDebtMode=Balance of income and expenses, annual summary
  149. AnnualSummaryInputOutputMode=Balance of income and expenses, annual summary
  150. AnnualByCompanies=Balance of income and expenses, by predefined groups of account
  151. AnnualByCompaniesDueDebtMode=Balance of income and expenses, detail by predefined groups, mode <b>%sClaims-Debts%s</b> said <b>Commitment accounting</b>.
  152. AnnualByCompaniesInputOutputMode=Balance of income and expenses, detail by predefined groups, mode <b>%sIncomes-Expenses%s</b> said <b>cash accounting</b>.
  153. SeeReportInInputOutputMode=See report <b>%sIncomes-Expenses%s</b> said <b>cash accounting</b> for a calculation on actual payments made
  154. SeeReportInDueDebtMode=See report <b>%sClaims-Debts%s</b> said <b>commitment accounting</b> for a calculation on issued invoices
  155. SeeReportInBookkeepingMode=See report <b>%sBookeeping%s</b> for a calculation on <b>bookkeeping table analysis</b>
  156. RulesAmountWithTaxIncluded=- Amounts shown are with all taxes included
  157. RulesResultDue=- It includes outstanding invoices, expenses, VAT, donations whether they are paid or not. Is also includes paid salaries.<br>- It is based on the validation date of invoices and VAT and on the due date for expenses. For salaries defined with Salary module, the value date of payment is used.
  158. RulesResultInOut=- It includes the real payments made on invoices, expenses, VAT and salaries. <br>- It is based on the payment dates of the invoices, expenses, VAT and salaries. The donation date for donation.
  159. RulesCADue=- It includes the client's due invoices whether they are paid or not. <br>- It is based on the validation date of these invoices.<br>
  160. RulesCAIn=- It includes all the effective payments of invoices received from clients.<br>- It is based on the payment date of these invoices<br>
  161. RulesCATotalSaleJournal=It includes all credit lines from the Sale journal.
  162. RulesAmountOnInOutBookkeepingRecord=It includes record in your Ledger with accounting accounts that has the group "EXPENSE" or "INCOME"
  163. RulesResultBookkeepingPredefined=It includes record in your Ledger with accounting accounts that has the group "EXPENSE" or "INCOME"
  164. RulesResultBookkeepingPersonalized=It show record in your Ledger with accounting accounts <b>grouped by personalized groups</b>
  165. SeePageForSetup=See menu <a href="%s">%s</a> for setup
  166. DepositsAreNotIncluded=- Down payment invoices are nor included
  167. DepositsAreIncluded=- Down payment invoices are included
  168. LT1ReportByCustomers=Report tax 2 by third party
  169. LT2ReportByCustomers=Report tax 3 by third party
  170. LT1ReportByCustomersES=Report by third party RE
  171. LT2ReportByCustomersES=Report by third party IRPF
  172. VATReport=Sale tax report
  173. VATReportByPeriods=Sale tax report by period
  174. VATReportByRates=Sale tax report by rates
  175. VATReportByThirdParties=Sale tax report by third parties
  176. VATReportByCustomers=Sale tax report by customer
  177. VATReportByCustomersInInputOutputMode=Report by the customer VAT collected and paid
  178. VATReportByQuartersInInputOutputMode=Report by Sale tax rate of the tax collected and paid
  179. LT1ReportByQuarters=Report tax 2 by rate
  180. LT2ReportByQuarters=Report tax 3 by rate
  181. LT1ReportByQuartersES=Report by RE rate
  182. LT2ReportByQuartersES=Report by IRPF rate
  183. SeeVATReportInInputOutputMode=See report <b>%sVAT encasement%s</b> for a standard calculation
  184. SeeVATReportInDueDebtMode=See report <b>%sVAT on flow%s</b> for a calculation with an option on the flow
  185. RulesVATInServices=- For services, the report includes the VAT regulations actually received or issued on the basis of the date of payment.
  186. RulesVATInProducts=- For material assets, the report includes the VAT received or issued on the basis of the date of payment.
  187. RulesVATDueServices=- For services, the report includes VAT invoices due, paid or not, based on the invoice date.
  188. RulesVATDueProducts=- For material assets, the report includes the VAT invoices, based on the invoice date.
  189. OptionVatInfoModuleComptabilite=Note: For material assets, it should use the date of delivery to be more fair.
  190. ThisIsAnEstimatedValue=This is a preview, based on business events and not from the final ledger table, so final results may differ from this preview values
  191. PercentOfInvoice=%%/invoice
  192. NotUsedForGoods=Not used on goods
  193. ProposalStats=Statistics on proposals
  194. OrderStats=Statistics on orders
  195. InvoiceStats=Statistics on bills
  196. Dispatch=Dispatching
  197. Dispatched=Dispatched
  198. ToDispatch=To dispatch
  199. ThirdPartyMustBeEditAsCustomer=Third party must be defined as a customer
  200. SellsJournal=Sales Journal
  201. PurchasesJournal=Purchases Journal
  202. DescSellsJournal=Sales Journal
  203. DescPurchasesJournal=Purchases Journal
  204. InvoiceRef=Invoice ref.
  205. CodeNotDef=Not defined
  206. WarningDepositsNotIncluded=Down payment invoices are not included in this version with this accountancy module.
  207. DatePaymentTermCantBeLowerThanObjectDate=Payment term date can't be lower than object date.
  208. Pcg_version=Chart of accounts models
  209. Pcg_type=Pcg type
  210. Pcg_subtype=Pcg subtype
  211. InvoiceLinesToDispatch=Invoice lines to dispatch
  212. ByProductsAndServices=By products and services
  213. RefExt=External ref
  214. ToCreateAPredefinedInvoice=To create a template invoice, create a standard invoice, then, without validating it, click onto button "%s".
  215. LinkedOrder=Link to order
  216. Mode1=Method 1
  217. Mode2=Method 2
  218. CalculationRuleDesc=To calculate total VAT, there is two methods:<br>Method 1 is rounding vat on each line, then summing them.<br>Method 2 is summing all vat on each line, then rounding result.<br>Final result may differs from few cents. Default mode is mode <b>%s</b>.
  219. CalculationRuleDescSupplier=According to supplier, choose appropriate method to apply same calculation rule and get same result expected by your supplier.
  220. TurnoverPerProductInCommitmentAccountingNotRelevant=Turnover report per product, when using a <b>cash accountancy</b> mode is not relevant. This report is only available when using <b>engagement accountancy</b> mode (see setup of accountancy module).
  221. CalculationMode=Calculation mode
  222. AccountancyJournal=Accounting code journal
  223. ACCOUNTING_VAT_SOLD_ACCOUNT=Accounting account by default for VAT on sales (used if not defined on VAT dictionary setup)
  224. ACCOUNTING_VAT_BUY_ACCOUNT=Accounting account by default for VAT on purchases (used if not defined on VAT dictionary setup)
  225. ACCOUNTING_VAT_PAY_ACCOUNT=Accounting account by default for paying VAT
  226. ACCOUNTING_ACCOUNT_CUSTOMER=Accounting account used for customer third parties
  227. ACCOUNTING_ACCOUNT_CUSTOMER_Desc=The dedicated accounting account defined on third party card will be used for Subledger accouting only. This one will be used for General Ledger and as default value of Subledger accounting if dedicated customer accouting account on third party is not defined.
  228. ACCOUNTING_ACCOUNT_SUPPLIER=Accounting account used for vendor third parties
  229. ACCOUNTING_ACCOUNT_SUPPLIER_Desc=The dedicated accounting account defined on third party card will be used for Subledger accouting only. This one will be used for General Ledger and as default value of Subledger accounting if dedicated supplier accouting account on third party is not defined.
  230. CloneTax=Clone a social/fiscal tax
  231. ConfirmCloneTax=Confirm the clone of a social/fiscal tax payment
  232. CloneTaxForNextMonth=Clone it for next month
  233. SimpleReport=Simple report
  234. AddExtraReport=Extra reports (add foreign and national customer report)
  235. OtherCountriesCustomersReport=Foreign customers report
  236. BasedOnTwoFirstLettersOfVATNumberBeingDifferentFromYourCompanyCountry=Based on the two first letters of the VAT number being different from your own company's country code
  237. SameCountryCustomersWithVAT=National customers report
  238. BasedOnTwoFirstLettersOfVATNumberBeingTheSameAsYourCompanyCountry=Based on the two first letters of the VAT number being the same as your own company's country code
  239. LinkedFichinter=Link to an intervention
  240. ImportDataset_tax_contrib=Social/fiscal taxes
  241. ImportDataset_tax_vat=Vat payments
  242. ErrorBankAccountNotFound=Error: Bank account not found
  243. FiscalPeriod=Accounting period
  244. ListSocialContributionAssociatedProject=List of social contributions associated with the project
  245. DeleteFromCat=Remove from accounting group
  246. AccountingAffectation=Accounting assignement
  247. LastDayTaxIsRelatedTo=Last day of period the tax is related to