The Compliance Database is the main location for creating and posting information about your client which is used to produce financial statements. It lets you determine the level of disclosure you want to see in your accounts, the legislation applicable and input any other information required to produce financial statements.
The Compliance Database works primarily from the postings to nominal codes in the Trial Balance module of the Surf Accounts Production. Depending on your postings, some sections of the Compliance Database will be triggered as requiring manual input of information.
Each Compliance Database contains all information necessary to produce a set of accounts other than the postings to the Trial Balance of the client. The relevant database appears according to the client entity type.