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- # Dolibarr language file - Source file is en_US - banks
- Bank=Bank
- MenuBankCash=Banks | Cash
- MenuVariousPayment=Miscellaneous payments
- MenuNewVariousPayment=New Miscellaneous payment
- BankName=Bank name
- FinancialAccount=Account
- BankAccount=Bank account
- BankAccounts=Bank accounts
- BankAccountsAndGateways=Bank accounts | Gateways
- ShowAccount=Show Account
- AccountRef=Financial account ref
- AccountLabel=Financial account label
- CashAccount=Cash account
- CashAccounts=Cash accounts
- CurrentAccounts=Current accounts
- SavingAccounts=Savings accounts
- ErrorBankLabelAlreadyExists=Financial account label already exists
- BankBalance=Balance
- BankBalanceBefore=Balance before
- BankBalanceAfter=Balance after
- BalanceMinimalAllowed=Minimum allowed balance
- BalanceMinimalDesired=Minimum desired balance
- InitialBankBalance=Initial balance
- EndBankBalance=End balance
- CurrentBalance=Current balance
- FutureBalance=Future balance
- ShowAllTimeBalance=Show balance from start
- AllTime=From start
- Reconciliation=Reconciliation
- RIB=Bank Account Number
- IBAN=IBAN number
- BIC=BIC/SWIFT code
- SwiftValid=BIC/SWIFT valid
- SwiftNotValid=BIC/SWIFT not valid
- IbanValid=BAN valid
- IbanNotValid=BAN not valid
- StandingOrders=Direct debit orders
- StandingOrder=Direct debit order
- PaymentByDirectDebit=Payment by direct debit
- PaymentByBankTransfers=Payments by credit transfer
- PaymentByBankTransfer=Payment by credit transfer
- AccountStatement=Account statement
- AccountStatementShort=Statement
- AccountStatements=Account statements
- LastAccountStatements=Last account statements
- IOMonthlyReporting=Monthly reporting
- BankAccountDomiciliation=Bank address
- BankAccountCountry=Account country
- BankAccountOwner=Account owner name
- BankAccountOwnerAddress=Account owner address
- CreateAccount=Create account
- NewBankAccount=New account
- NewFinancialAccount=New financial account
- MenuNewFinancialAccount=New financial account
- EditFinancialAccount=Edit account
- LabelBankCashAccount=Bank or cash label
- AccountType=Account type
- BankType0=Savings account
- BankType1=Current or credit card account
- BankType2=Cash account
- AccountsArea=Accounts area
- AccountCard=Account card
- DeleteAccount=Delete account
- ConfirmDeleteAccount=Are you sure you want to delete this account?
- Account=Account
- BankTransactionByCategories=Bank entries by categories
- BankTransactionForCategory=Bank entries for category <b>%s</b>
- RemoveFromRubrique=Remove link with category
- RemoveFromRubriqueConfirm=Are you sure you want to remove link between the entry and the category?
- ListBankTransactions=List of bank entries
- IdTransaction=Transaction ID
- BankTransactions=Bank entries
- BankTransaction=Bank entry
- ListTransactions=List entries
- ListTransactionsByCategory=List entries/category
- TransactionsToConciliate=Entries to reconcile
- TransactionsToConciliateShort=To reconcile
- Conciliable=Can be reconciled
- Conciliate=Reconcile
- Conciliation=Reconciliation
- SaveStatementOnly=Save statement only
- ReconciliationLate=Reconciliation late
- IncludeClosedAccount=Include closed accounts
- OnlyOpenedAccount=Only open accounts
- AccountToCredit=Account to credit
- AccountToDebit=Account to debit
- DisableConciliation=Disable reconciliation feature for this account
- ConciliationDisabled=Reconciliation feature disabled
- LinkedToAConciliatedTransaction=Linked to a conciliated entry
- StatusAccountOpened=Open
- StatusAccountClosed=Closed
- AccountIdShort=Number
- LineRecord=Transaction
- AddBankRecord=Add entry
- AddBankRecordLong=Add entry manually
- Conciliated=Reconciled
- ReConciliedBy=Reconciled by
- DateConciliating=Reconcile date
- BankLineConciliated=Entry reconciled with bank receipt
- BankLineReconciled=Reconciled
- BankLineNotReconciled=Not reconciled
- CustomerInvoicePayment=Customer payment
- SupplierInvoicePayment=Vendor payment
- SubscriptionPayment=Subscription payment
- WithdrawalPayment=Debit payment order
- SocialContributionPayment=Social/fiscal tax payment
- BankTransfer=Credit transfer
- BankTransfers=Credit transfers
- MenuBankInternalTransfer=Internal transfer
- TransferDesc=Use internal transfer to transfer from one account to another, the application will write two records: a debit in the source account and a credit in the target account. The same amount, label and date will be used for this transaction.
- TransferFrom=From
- TransferTo=To
- TransferFromToDone=A transfer from <b>%s</b> to <b>%s</b> of <b>%s</b> %s has been recorded.
- CheckTransmitter=Sender
- ValidateCheckReceipt=Validate this check receipt?
- ConfirmValidateCheckReceipt=Are you sure that you want to submit this check receipt for validation? No changes will be possible once validated.
- DeleteCheckReceipt=Delete this check receipt?
- ConfirmDeleteCheckReceipt=Are you sure you want to delete this check receipt?
- BankChecks=Bank checks
- BankChecksToReceipt=Checks awaiting deposit
- BankChecksToReceiptShort=Checks awaiting deposit
- ShowCheckReceipt=Show check deposit receipt
- NumberOfCheques=No. of check
- DeleteTransaction=Delete entry
- ConfirmDeleteTransaction=Are you sure you want to delete this entry?
- ThisWillAlsoDeleteBankRecord=This will also delete generated bank entry
- BankMovements=Movements
- PlannedTransactions=Planned entries
- Graph=Graphs
- ExportDataset_banque_1=Bank entries and account statement
- ExportDataset_banque_2=Deposit slip
- TransactionOnTheOtherAccount=Transaction on the other account
- PaymentNumberUpdateSucceeded=Payment number updated successfully
- PaymentNumberUpdateFailed=Payment number could not be updated
- PaymentDateUpdateSucceeded=Payment date updated successfully
- PaymentDateUpdateFailed=Payment date could not be updated
- Transactions=Transactions
- BankTransactionLine=Bank entry
- AllAccounts=All bank and cash accounts
- BackToAccount=Back to account
- ShowAllAccounts=Show for all accounts
- FutureTransaction=Future transaction. Unable to reconcile.
- SelectChequeTransactionAndGenerate=Select/filter the checks which are to be included in the check deposit receipt. Then, click on "Create".
- InputReceiptNumber=Choose the bank statement related with the conciliation. Use a sortable numeric value: YYYYMM or YYYYMMDD
- EventualyAddCategory=Eventually, specify a category in which to classify the records
- ToConciliate=To reconcile?
- ThenCheckLinesAndConciliate=Then, check the lines present in the bank statement and click
- DefaultRIB=Default BAN
- AllRIB=All BAN
- LabelRIB=BAN Label
- NoBANRecord=No BAN record
- DeleteARib=Delete BAN record
- ConfirmDeleteRib=Are you sure you want to delete this BAN record?
- RejectCheck=Check returned
- ConfirmRejectCheck=Are you sure you want to mark this check as rejected?
- RejectCheckDate=Date the check was returned
- CheckRejected=Check returned
- CheckRejectedAndInvoicesReopened=Check returned and invoices re-open
- BankAccountModelModule=Document templates for bank accounts
- DocumentModelSepaMandate=Template of SEPA mandate. Useful for European countries in EEC only.
- DocumentModelBan=Template to print a page with BAN information.
- NewVariousPayment=New miscellaneous payment
- VariousPayment=Miscellaneous payment
- VariousPayments=Miscellaneous payments
- ShowVariousPayment=Show miscellaneous payment
- AddVariousPayment=Add miscellaneous payment
- VariousPaymentId=Miscellaneous payment ID
- VariousPaymentLabel=Miscellaneous payment label
- ConfirmCloneVariousPayment=Confirm the clone of a miscellaneous payment
- SEPAMandate=SEPA mandate
- YourSEPAMandate=Your SEPA mandate
- FindYourSEPAMandate=This is your SEPA mandate to authorize our company to make direct debit order to your bank. Return it signed (scan of the signed document) or send it by mail to
- AutoReportLastAccountStatement=Automatically fill the field 'number of bank statement' with last statement number when making reconciliation
- CashControl=POS cash control
- NewCashFence=New cash control (opening or closing)
- BankColorizeMovement=Colorize movements
- BankColorizeMovementDesc=If this function is enable, you can choose specific background color for debit or credit movements
- BankColorizeMovementName1=Background color for debit movement
- BankColorizeMovementName2=Background color for credit movement
- IfYouDontReconcileDisableProperty=If you don't make the bank reconciliations on some bank accounts, disable the property "%s" on them to remove this warning.
- NoBankAccountDefined=No bank account defined
- NoRecordFoundIBankcAccount=No record found in bank account. Commonly, this occurs when a record has been deleted manually from the list of transaction in the bank account (for example during a reconciliation of the bank account). Another reason is that the payment was recorded when the module "%s" was disabled.
- AlreadyOneBankAccount=Already one bank account defined
- SEPAXMLPlacePaymentTypeInformationInCreditTransfertransactionInformation=SEPA transfer: 'Payment Type' at 'Credit Transfer' level
- SEPAXMLPlacePaymentTypeInformationInCreditTransfertransactionInformationHelp=When generatin a SEPA XML file for Credit transfers, the section "PaymentTypeInformation" can now be placed inside the "CreditTransferTransactionInformation" section (instead of "Payment" section). We strongly recommend to keep this unchecked to place PaymentTypeInformation at Payment level, as all banks will not necessarily accept it at CreditTransferTransactionInformation level. Contact your bank before placing PaymentTypeInformation at CreditTransferTransactionInformation level.
- ToCreateRelatedRecordIntoBank=To create missing related bank record
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