banks.lang 9.6 KB

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  1. # Dolibarr language file - Source file is en_US - banks
  2. Bank=Bank
  3. MenuBankCash=Banks | Cash
  4. MenuVariousPayment=Miscellaneous payments
  5. MenuNewVariousPayment=New Miscellaneous payment
  6. BankName=Bank name
  7. FinancialAccount=Account
  8. BankAccount=Bank account
  9. BankAccounts=Bank accounts
  10. BankAccountsAndGateways=Bank accounts | Gateways
  11. ShowAccount=Show Account
  12. AccountRef=Financial account ref
  13. AccountLabel=Financial account label
  14. CashAccount=Cash account
  15. CashAccounts=Cash accounts
  16. CurrentAccounts=Current accounts
  17. SavingAccounts=Savings accounts
  18. ErrorBankLabelAlreadyExists=Financial account label already exists
  19. ErrorBankReceiptAlreadyExists=Bank receipt reference already exists
  20. BankBalance=Balance
  21. BankBalanceBefore=Balance before
  22. BankBalanceAfter=Balance after
  23. BalanceMinimalAllowed=Minimum allowed balance
  24. BalanceMinimalDesired=Minimum desired balance
  25. InitialBankBalance=Initial balance
  26. EndBankBalance=End balance
  27. CurrentBalance=Current balance
  28. FutureBalance=Future balance
  29. ShowAllTimeBalance=Show balance from start
  30. AllTime=From start
  31. Reconciliation=Reconciliation
  32. RIB=Bank Account Number
  33. IBAN=IBAN number
  34. BIC=BIC/SWIFT code
  35. SwiftValid=BIC/SWIFT valid
  36. SwiftNotValid=BIC/SWIFT not valid
  37. IbanValid=BAN valid
  38. IbanNotValid=BAN not valid
  39. StandingOrders=Direct debit orders
  40. StandingOrder=Direct debit order
  41. PaymentByDirectDebit=Payment by direct debit
  42. PaymentByBankTransfers=Payments by credit transfer
  43. PaymentByBankTransfer=Payment by credit transfer
  44. AccountStatement=Account statement
  45. AccountStatementShort=Statement
  46. AccountStatements=Account statements
  47. LastAccountStatements=Last account statements
  48. IOMonthlyReporting=Monthly reporting
  49. BankAccountDomiciliation=Bank address
  50. BankAccountCountry=Account country
  51. BankAccountOwner=Account owner name
  52. BankAccountOwnerAddress=Account owner address
  53. BankAccountOwnerZip=Account owner zip
  54. BankAccountOwnerTown=Account owner town
  55. BankAccountOwnerCountry=Account owner country
  56. CreateAccount=Create account
  57. NewBankAccount=New account
  58. NewFinancialAccount=New financial account
  59. MenuNewFinancialAccount=New financial account
  60. EditFinancialAccount=Edit account
  61. LabelBankCashAccount=Bank or cash label
  62. AccountType=Account type
  63. BankType0=Savings account
  64. BankType1=Current, cheque or credit card account
  65. BankType2=Cash account
  66. AccountsArea=Accounts area
  67. AccountCard=Account card
  68. DeleteAccount=Delete account
  69. ConfirmDeleteAccount=Are you sure you want to delete this account?
  70. BankTransactionByCategories=Bank entries by categories
  71. BankTransactionForCategory=Bank entries for category <b>%s</b>
  72. RemoveFromRubrique=Remove link with category
  73. RemoveFromRubriqueConfirm=Are you sure you want to remove link between the entry and the category?
  74. ListBankTransactions=List of bank entries
  75. IdTransaction=Transaction ID
  76. BankTransactions=Bank entries
  77. BankTransaction=Bank entry
  78. ListTransactions=List entries
  79. ListTransactionsByCategory=List entries/category
  80. TransactionsToConciliate=Entries to reconcile
  81. TransactionsToConciliateShort=To reconcile
  82. Conciliable=Can be reconciled
  83. Conciliate=Reconcile
  84. Conciliation=Reconciliation
  85. SaveStatementOnly=Save statement only
  86. ReconciliationLate=Reconciliation late
  87. IncludeClosedAccount=Include closed accounts
  88. OnlyOpenedAccount=Only open accounts
  89. AccountToCredit=Account to credit
  90. AccountToDebit=Account to debit
  91. DisableConciliation=Disable reconciliation feature for this account
  92. ConciliationDisabled=Reconciliation feature disabled
  93. LinkedToAConciliatedTransaction=Linked to a conciliated entry
  94. StatusAccountOpened=Open
  95. StatusAccountClosed=Затворено
  96. AccountIdShort=Number
  97. LineRecord=Transaction
  98. AddBankRecord=Add entry
  99. AddBankRecordLong=Add entry manually
  100. Conciliated=Reconciled
  101. ReConciliedBy=Reconciled by
  102. DateConciliating=Reconcile date
  103. BankLineConciliated=Entry reconciled with bank receipt
  104. BankLineReconciled=Reconciled
  105. BankLineNotReconciled=Not reconciled
  106. CustomerInvoicePayment=Customer payment
  107. SupplierInvoicePayment=Vendor payment
  108. SubscriptionPayment=Subscription payment
  109. WithdrawalPayment=Direct Debit payment
  110. BankTransferPayment=Credit Transfer payment
  111. SocialContributionPayment=Social/fiscal tax payment
  112. BankTransfer=Credit transfer
  113. BankTransfers=Credit transfers
  114. MenuBankInternalTransfer=Internal transfer
  115. 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.
  116. TransferFrom=From
  117. TransferTo=To
  118. TransferFromToDone=A transfer from <b>%s</b> to <b>%s</b> of <b>%s</b> %s has been recorded.
  119. CheckTransmitter=Sender
  120. ValidateCheckReceipt=Validate this check receipt?
  121. ConfirmValidateCheckReceipt=Are you sure that you want to submit this check receipt for validation? No changes will be possible once validated.
  122. DeleteCheckReceipt=Delete this check receipt?
  123. ConfirmDeleteCheckReceipt=Are you sure you want to delete this check receipt?
  124. DocumentsForDeposit=Documents to deposit at the bank
  125. BankChecks=Bank checks
  126. BankChecksToReceipt=Checks awaiting deposit
  127. BankChecksToReceiptShort=Checks awaiting deposit
  128. ShowCheckReceipt=Show check deposit receipt
  129. NumberOfCheques=No. of check
  130. DeleteTransaction=Delete entry
  131. ConfirmDeleteTransaction=Are you sure you want to delete this entry?
  132. ThisWillAlsoDeleteBankRecord=This will also delete generated bank entry
  133. BankMovements=Movements
  134. PlannedTransactions=Planned entries
  135. Graph=Graphs
  136. ExportDataset_banque_1=Bank entries and account statement
  137. ExportDataset_banque_2=Deposit slip
  138. TransactionOnTheOtherAccount=Transaction on the other account
  139. PaymentNumberUpdateSucceeded=Payment number updated successfully
  140. PaymentNumberUpdateFailed=Payment number could not be updated
  141. PaymentDateUpdateSucceeded=Payment date updated successfully
  142. PaymentDateUpdateFailed=Payment date could not be updated
  143. Transactions=Transactions
  144. BankTransactionLine=Bank entry
  145. AllAccounts=All bank and cash accounts
  146. BackToAccount=Back to account
  147. ShowAllAccounts=Show for all accounts
  148. FutureTransaction=Future transaction. Unable to reconcile.
  149. SelectChequeTransactionAndGenerate=Select/filter the checks which are to be included in the check deposit receipt. Then, click on "Create".
  150. SelectPaymentTransactionAndGenerate=Select/filter the documents which are to be included in the %s deposit receipt. Then, click on "Create".
  151. InputReceiptNumber=Choose the bank statement related with the conciliation. Use a sortable numeric value
  152. InputReceiptNumberBis=YYYYMM or YYYYMMDD
  153. EventualyAddCategory=Eventually, specify a category in which to classify the records
  154. ToConciliate=To reconcile?
  155. ThenCheckLinesAndConciliate=Then, check the lines present in the bank statement and click
  156. DefaultRIB=Default BAN
  157. AllRIB=All BAN
  158. LabelRIB=BAN Label
  159. NoBANRecord=No BAN record
  160. DeleteARib=Delete BAN record
  161. ConfirmDeleteRib=Are you sure you want to delete this BAN record?
  162. RejectCheck=Check returned
  163. ConfirmRejectCheck=Are you sure you want to mark this check as rejected?
  164. RejectCheckDate=Date the check was returned
  165. CheckRejected=Check returned
  166. CheckRejectedAndInvoicesReopened=Check returned and invoices re-open
  167. BankAccountModelModule=Document templates for bank accounts
  168. DocumentModelSepaMandate=Template of SEPA mandate. Useful for European countries in EEC only.
  169. DocumentModelBan=Template to print a page with BAN information.
  170. NewVariousPayment=New miscellaneous payment
  171. VariousPayment=Miscellaneous payment
  172. VariousPayments=Miscellaneous payments
  173. ShowVariousPayment=Show miscellaneous payment
  174. AddVariousPayment=Add miscellaneous payment
  175. VariousPaymentId=Miscellaneous payment ID
  176. VariousPaymentLabel=Miscellaneous payment label
  177. ConfirmCloneVariousPayment=Confirm the clone of a miscellaneous payment
  178. SEPAMandate=SEPA mandate
  179. YourSEPAMandate=Your SEPA mandate
  180. 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
  181. AutoReportLastAccountStatement=Automatically fill the field 'number of bank statement' with last statement number when making reconciliation
  182. CashControl=POS cash control
  183. NewCashFence=New cash control (opening or closing)
  184. BankColorizeMovement=Colorize movements
  185. BankColorizeMovementDesc=If this function is enable, you can choose specific background color for debit or credit movements
  186. BankColorizeMovementName1=Background color for debit movement
  187. BankColorizeMovementName2=Background color for credit movement
  188. IfYouDontReconcileDisableProperty=If you don't make the bank reconciliations on some bank accounts, disable the property "%s" on them to remove this warning.
  189. NoBankAccountDefined=No bank account defined
  190. 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.
  191. AlreadyOneBankAccount=Already one bank account defined
  192. SEPAXMLPlacePaymentTypeInformationInCreditTransfertransactionInformation=SEPA file variant
  193. SEPAXMLPlacePaymentTypeInformationInCreditTransfertransactionInformationHelp=Yes = Store 'Payment Type' in 'Credit Transfer' section of SEPA file<br><br>When generating 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.
  194. ToCreateRelatedRecordIntoBank=To create missing related bank record
  195. XNewLinesConciliated=%s new line(s) conciliated