To activate the Trust-functions, it is necessary to call up the command activate in the menu Admin – Trust Accounting (in addition to the serialisation). This is carried out after all master data have been entered into the system.
More:
Establish Trust Account Movement Data
Check Trust Consistency
Hotel Account
Trust Account Distribution (manually)
Pool Account
Owner Account
FF&E Account
Management Account
Posting Fees
Posting Payments
Accounts Receivable Management: Apply Payment
Synchronise Bank Accounts