采购订单打印的时候制单人和审核人显示在页面的最下面
2017-3-25 0:0:0 用友T1小编采购订单打印的时候制单人和审核人显示在页面的最下面
采购订单打印的时候制单人和审核人显示在页面的最下面问题号: | 20927 |
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适用产品: | U6 |
软件版本: | U6普及版3.2plus1 |
软件模块: | 采购管理 |
问题名称: | 采购订单打印的时候制单人和审核人显示在页面的最下面 |
问题现象: | 为什么打印采购订单的时候制单人和审核人都显示在页面的最下面,而不是紧挨着表格下面? |
问题原因: | - |
关键字: | |
解决方案: | 在单据格式设置界面选择采购订单的打印模版,右击表体内容选择属性,然后再把自动计算表格高度前面的勾打上,保存即可。 |
行业: | |
补丁编号: | |
解决状态: | |
录入日期: | 2016-03-16 15:23:45 |
最后更新时间: |
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最新信息
- 请问:修改制单人后以前做账的制单人不能同步修改吗?以前做好的账的制单人姓名?
- 请问,我们缴纳的税款入库到哪里了?在哪里可以看出入哪个金库了?三方协议上能看出吗?
- 请问,我先前收到一笔货款,不知道是谁付的,借:银行存款,贷:应收账款-未知;现在确认是谁付的后,我该怎样调账
- 请问,我公司是一般纳税人,供应商开给我们的进项名字开错了,已经被我们认证了,但是客户那边作废重开了一张,重开的未认证,这种进项转出要怎么做的?直接做一张红字红冲就可以了么?
- 请问,我看她写的期限是一年,那么一年以后,现在建立的帐套还在么
- 请问,我进项一个东西含税价是62元,税负率算1.2%,进销都是17%的税钱收,卖出去我要卖多少钱才不会亏呢?有公式吗
- 请问,新版的国税季报利润表里,本期金额和上期金额怎么填,取哪个数呢,谢谢
- 请问,用友建账建筑行业行业性质选哪个?
- 请问,财务做帐时后面附的合同必须是原件吗?
- 请问:店铺转让费10万元放在什么科目核算?新店。如果要摊消,几年摊完比较合理。坐得各位高手解答。谢谢。
总账和明细账中的本月合计本年累计的余额一定要是相等的嘛? 总账和明细账中的本月合计本年累计的余额一定要是相等的嘛?[]
帐帐相符@张立平_:嗯呢,是的,但是比如说我应付工资的本月合计和本年累计的余额一定要是相等的嘛?我的有些本年累计和本月合计的余额不等@wsfdf尘埃:发生额肯定不等,按时余额一定相等@曹倩:嗯恩,好的
应收单据不能录入 应收单据不能录入
问题号: | 2174 |
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解决状态: | 最终解决方案 |
软件版本: | 其他 |
软件模块: | 应收 |
行业: | 其他 |
关键字: | U8应收应付 |
适用产品: | u821 |
问题名称: | 应收单据不能录入 |
问题现象: | 应收单据不能录入 |
问题原因: | 因为数据库中的两个视图有错误。 |
解决方案: | 可以把正确的视图复制过来,重新创建,具体的脚本如附件。 drop view Ap_SalBillCust go create view Ap_SalBillCust as SELECT Customer.cCCCode AS cDWCCode,CustomerClass.cCCName as cDWCName,Customer.cDCCode AS cDWDCode,DistrictClass.cDCName,CASE WHEN Customer.cCusName‘‘ THEN Customer.cCusName ELSE Customer.cCusAbbName END AS cDWName,Customer.cCusPPerson AS cHPsnCode,Person_1.cPersonName as cHPersonName,Customer.cCusDepart AS cHDptCode,Department_1.cDepName as cHDepName,Customer.cCusHeadCode AS cHDWCode, CASE WHEN Customer_1.cCusName‘‘ THEN Customer_1.cCusName ELSE Customer_1.cCusAbbName END AS cHDwName,Customer.iCusCreLine AS iCreLine, Department.cDepName, Person.cPersonName, Inventory.cInvName,Inventory.cInvCCode,InventoryClass.cInvCName, Ap_VouchType.cTypeName,dDate+IsNull(PayCondition.iPayCreDays,0) AS dExpireDate,dDate+IsNull(PayCondition_1.iPayCreDays,0) AS dExpireDate_DW,dDate+IsNull(PayCondition.iPayFaDays,0)AS dFaDate,PayCondition.cPayName, SaleBillVouch.cCusCode AS cDWCode, SaleBillVouch.cDepCode AS cDeptCode, SaleBillVouch.cPersonCode AS cPerson,SaleBillVouch.cMemo AS cDigest, SaleBillVouch.cInvalider as cInvalider,SaleBillVouch.cChecker,SaleBillVouch.dDate AS dVouchDate, SaleBillVouch.cVouchType, SaleBillVouch.cSBVCode AS cVouchID, SaleBillVouch.cMaker, SaleBillVouch.cVerifier AS cCheckMan, SaleBillVouch.cPayCode, SaleBillVouch.cexch_name, SaleBillVouch.iExchRate, SaleBillVouchs.cInvCode, SaleBillVouchs.iNatSum AS iAmount, SaleBillVouchs.iSum AS iAmount_f, SaleBillVouchs.iMoneySum AS iFmount,SaleBillVouchs.iExchSum AS iFmount_f, SaleBillVouchs.iQuantity AS iAmount_s, SaleBillVouchs.iNatUnitPrice AS iprice, SaleBillVouchs.iNatTax AS ino_id,1-bReturnFlag as bd_c,bpayment,bFirst,cClue FROM ((((((((((((SaleBillVouch LEFT JOIN Ap_VouchType ON SaleBillVouch.cVouchType = Ap_VouchType.cTypeCode) LEFT JOIN Customer ON SaleBillVouch.cCusCode = Customer.cCusCode) LEFT JOIN Department ON SaleBillVouch.cDepCode = Department.cDepCode) LEFT JOIN Person ON SaleBillVouch.cPersonCode = Person.cPersonCode) LEFT JOIN PayCondition ON SaleBillVouch.cPayCode = PayCondition.cPayCode) INNER JOIN (SaleBillVouchs LEFT JOIN Inventory ON SaleBillVouchs.cInvCode = Inventory.cInvCode) ON SaleBillVouch.SBVID = SaleBillVouchs.SBVID) LEFT JOIN PayCondition AS PayCondition_1 ON Customer.cCusPayCond = PayCondition_1.cPayCode) LEFT JOIN CustomerClass ON Customer.cCCCode=CustomerClass.cCCCode) LEFT JOIN Customer as Customer_1 ON Customer.cCusHeadCode=Customer_1.cCusCode) LEFT JOIN DistrictClass ON Customer.cDCCode=DistrictClass.cDCCode) LEFT JOIN Department as Department_1 ON Customer.cCusDepart=Department_1.cDepCode) LEFT JOIN Person as Person_1 ON Customer.cCusPPerson=Person_1.cPersonCode) LEFT JOIN InventoryClass ON Inventory.cInvCCode=InventoryClass.cInvCCode Where cChecker Is Not Null And isnull(cInvalider,‘‘)=‘‘ go drop view Ap_PurBillVend go CREATE VIEW Ap_PurBillVend as SELECT Vendor.cVCCode AS cDWCCode,VendorClass.cVCName as cDWCName,Vendor.cDCCode AS cDWDCode,DistrictClass.cDCName, Case When Vendor.cVenName‘‘ Then Vendor.cVenName Else Vendor.cVenAbbName End AS cDWName, Vendor.cVenPPerson AS cHPsnCode,Person_1.cPersonName as cHPersonName,Vendor.cVenDepart AS cHDptCode,Department_1.cDepName as cHDepName, Vendor.cVenHeadCode AS cHDWCode,CASE WHEN Vendor_1.cVenName‘‘ THEN Vendor_1.cVenName ELSE Vendor_1.cVenAbbName END as cHDWName, Vendor.iVenCreLine AS iCreLine,Department.cDepName, Person.cPersonName, Inventory.cInvName, Inventory.cInvCCode,InventoryClass.cInvCName, dPBVDate+IsNull(PayCondition.iPayCreDays,0) AS dExpireDate,dPBVDate+IsNull(PayCondition_1.iPayCreDays,0) AS dExpireDate_DW, dPBVDate+IsNull(PayCondition.iPayFaDays,0)AS dFaDate,Ap_VouchType.cTypeName, PayCondition.cPayName,PurBillVouch.cUnitCode AS cDWCode, PurBillVouch.cDepCode AS cDeptCode, PurBillVouch.cPersonCode AS cPerson,PurBillVouch.cPBVMemo AS cDigest, PurBillVouch.dPBVDate AS dVouchDate, PurBillVouch.cPBVBillType AS cVouchType, PurBillVouch.cPBVCode AS cVouchID, PurBillVouch.cPBVMaker, PurBillVouch.cPBVVerifier AS cCheckMan, PurBillVouch.cPayCode, PurBillVouch.cexch_name, PurBillVouch.cExchRate AS iExchRate, PurBillVouchs.cInvCode, PurBillVouchs.iSum AS iAmount, PurBillVouchs.iOriSum AS iAmount_f,PurBillVouchs.iTotal AS iFmount, PurBillVouchs.iOriTotal AS iFmount_f, PurBillVouchs.iPBVQuantity AS iAmount_s, PurBillVouchs.iCost AS iprice, PurBillVouchs.iTaxPrice AS ino_id,PurBillVouch.dSDate, bNegative as bd_c,bpayment,bFirst,bOriginal,cClue,iNetLock FROM ((((((((((((PurBillVouch LEFT JOIN Ap_VouchType ON PurBillVouch.cPBVBillType = Ap_VouchType.cTypeCode) LEFT JOIN Vendor ON PurBillVouch.cUnitCode = Vendor.cVenCode) LEFT JOIN Department ON PurBillVouch.cDepCode = Department.cDepCode) LEFT JOIN Person ON PurBillVouch.cPersonCode = Person.cPersonCode) LEFT JOIN PayCondition ON PurBillVouch.cPayCode = PayCondition.cPayCode) INNER JOIN (PurBillVouchs LEFT JOIN Inventory ON PurBillVouchs.cInvCode = Inventory.cInvCode) ON PurBillVouch.PBVID = PurBillVouchs.PBVID) LEFT JOIN PayCondition AS PayCondition_1 ON Vendor.cVenPayCond = PayCondition_1.cPayCode) LEFT JOIN VendorClass ON Vendor.cVCCode=VendorClass.cVCCode) LEFT JOIN Vendor as Vendor_1 ON Vendor.cVenHeadCode=Vendor_1.cVenCode) LEFT JOIN DistrictClass ON Vendor.cDCCode=DistrictClass.cDCCode) LEFT JOIN Department as Department_1 ON Vendor.cVenDepart=Department_1.cDepCode) LEFT JOIN Person as Person_1 ON Vendor.cVenPPerson=Person_1.cPersonCode) LEFT JOIN InventoryClass ON Inventory.cInvCCode=InventoryClass.cInvCCode |