Refresh Account/Unit Combinations
Use this utility to rebuild the different combinations for each Account and for each Unit Code it references. This information is held in a table that is automatically updated when you add Budgets, and whenever you post a Journal to the Ledger.
When you run Financial Statements, this table is used, rather than the system gathering it at statement run time, which helps your Financial Statements run more efficiently.
Note: You should
run this utility any time you add a new Sort Method.