This routine is only valid if DC1 Financials is installed and if the cost centre handling function is activated.
The purpose of this routine is to rebuild files once the division that a cost centre belongs to is changed. This routine must be performed because division information is stored together with cost centre information in a number of files.
- Rebuild orders
- Mandatory entry. This field allows division and cost centre information to be rebuilt on the:
- Sales order header
- Purchase order header
- Invoice header
- Invoice production line
Indicate if you want rebuild both sales and purchase orders.
- From order date
- Enter the starting date from which the changes to the division that a cost centre belongs are take effect. All orders entered from that day onwards will be updated.
- Rebuild statistics
- Mandatory entry. Indicate if statistics information should also be rebuilt.
- From date
- Enter the starting date from which the changes to the statistics are take effect. All orders entered from that day onwards will be updated.