`bank_curr_code` char(3) NOT NULL default '',
`dflt_curr_act` tinyint(1) NOT NULL default '0',
`id` smallint(6) NOT NULL auto_increment,
+ `bank_charge_act` varchar(15) NOT NULL default '',
`last_reconciled_date` timestamp NOT NULL default '0000-00-00 00:00:00',
`ending_reconcile_balance` double NOT NULL default '0',
`inactive` tinyint(1) NOT NULL default '0',
-- Dumping data for table `0_bank_accounts`
--
-INSERT INTO `0_bank_accounts` VALUES('1060', 0, 'Current account', 'N/A', 'N/A', '', 'USD', 1, 1, '0000-00-00 00:00:00', 0, 0);
-INSERT INTO `0_bank_accounts` VALUES('1065', 3, 'Petty Cash account', 'N/A', 'N/A', '', 'USD', 0, 2, '0000-00-00 00:00:00', 0, 0);
+INSERT INTO `0_bank_accounts` VALUES('1060', 0, 'Current account', 'N/A', 'N/A', '', 'USD', 1, 1, '5690', '0000-00-00 00:00:00', 0, 0);
+INSERT INTO `0_bank_accounts` VALUES('1065', 3, 'Petty Cash account', 'N/A', 'N/A', '', 'USD', 0, 2, '5690', '0000-00-00 00:00:00', 0, 0);
-- --------------------------------------------------------
`rep_popup` tinyint(1) default '1',
`sticky_doc_date` tinyint(1) default '0',
`startup_tab` varchar(20) NOT NULL default '',
+ `transaction_days` smallint(6) NOT NULL default '0',
`inactive` tinyint(1) NOT NULL default '0',
PRIMARY KEY (`id`),
UNIQUE KEY `user_id` (`user_id`)