English | French |
access account | compte d'accès (An account used to crawl Web sites, servers and network resources included in a content index) |
account alias | alias de compte (" A 20-character "short name" for a posting account in the chart of accounts. If the account format has an unusually large number of segments, entering aliases rather than accounts will speed up data entry.") |
account balance | solde compte (The difference between the sum of debit entries and the sum of credit entries entered into an account during a financial period) |
account balance | solde de compte (The difference between the sum of debit entries and the sum of credit entries entered into an account during a financial period) |
account certification | certification de compte (The process that associates user accounts with key pairs) |
account certification service | service de certification de compte (A Windows RMS Web service that creates and distributes RM account certificates) |
account code | code compte (The unique identifier for a record that holds the balance relating to any single asset, liability, owner's equity, revenue, or expense of the business) |
account code segment | segment de code compte (A section of an account code that represents a type of entity for which you are accounting) |
account domain | domaine de comptes (A Windows NT domain that holds user account data) |
account entry | écriture de compte (A record of the increase or decrease in economic value classified by a ledger account) |
account expiration | expiration du compte (A time limit that is applied to the life of an account, so that it can be used only for a predetermined period of time) |
account federation server | serveur de fédération de comptes (The federation server that is located in the corporate network of the account partner organization. The account federation server issues security tokens to users based on user authentication. The server authenticates a user, pulls the relevant attributes and group membership information out of the account store, and generates and signs a security token to return to the user-either to be used in its own organization or to be sent to a partner organization) |
account federation server proxy | serveur proxy de fédération de comptes (The federation server proxy that is located in the perimeter network of the account partner organization. The account federation server proxy collects authentication credentials from a client that logs on over the Internet (or from the perimeter network) and passes those credentials to the account federation server) |
account for organizations | compte professionnel (The Microsoft Commerce Platform portal that gives organizations the ability to view, manage, and purchase Microsoft organizational services, licenses, and subscriptions, like O365, Windows Intune, and GSM, from a single location) |
account ID | ID de compte (A record-keeping number used to identify a subscriber/customer and to maintain a record of customer usage for billing purposes) |
account information | informations sur le compte (The required information provided in order to authorize access to the enterprise application) |
account linking | association de comptes (The process of linking Windows user accounts to Windows Live IDs or other online accounts, allowing seamless interaction between the two authentication models. As a result, users can be automatically logged into their online services when logging into Windows. They can also share with other users based on their Windows Live IDs (or other), granting them specific permissions to files and folders (read only, read-write, etc)) |
account lockout | verrouillage de compte (A Windows security feature that locks a user account if a number of failed logon attempts occur within a specified amount of time, based on security policy lockout settings. Locked accounts cannot log on) |
account manager | gestionnaire de comptes (A Microsoft employee who is the primary contact for the business relationship between the OEM and Microsoft) |
account manager | administrateur de comptes (The person who sets up and maintains the systems and records related to authorized users of multi-user computer networks or operating systems) |
account mapping | mappage de compte (Specifies maps between text in payment descriptions and the debit or credit account that you want the payment to be matched with when you use the Match Automatically function in the General Journal window) |
account name | nom de compte (The part of an e-mail address that identifies a user or an account on an e-mail system) |
account number | numéro de compte (The identifying alphanumeric characters that have been assigned to an account) |
Account Number | Num ro de compte (A field label on the Details tab of an account that lists the number assigned to the account. The account number is included as a part of the company profile) |
account owner | propriétaire du compte (A person who signs up for an account. Some features, such as billing, purchasing account add-ons, and creating e-mail accounts, are available to the account owner only) |
account partner | partenaire de compte (A federation partner that is trusted by the Federation Service to provide security tokens to its users (that is, users in the account partner organization) so that they can access Web-based applications in the resource partner) |
account picture | avatar du compte (A graphical representation that's associated with a user account for Windows and Windows Live) |
account policy | stratégie de compte (On local area networks and multiuser operating systems, a set of rules governing whether a new user is allowed access to the system and whether an existing user's rights are expanded to include additional system resources. An account policy also generally states the rules with which the user must comply while using the system in order to maintain access privileges) |
account reconciliation | rapprochement de compte (The practice of reconciling accounts) |
account record | enregistrement de compte (The location for storing account information, including information that is entered on the Account form, linked records, and history items) |
account rule | règle de compte (A rule in an accounting system that controls the valid financial dimension value combinations when the requirements of the financial dimension structure condition are met) |
account set | groupe de comptes (A named group of ledger accounts) |
Account Setup Assistant | Assistant Configuration du compte (The assistant that helps users configure some of the most widely used e-mail accounts, such as POP, IMAP, Windows Live Hotmail, and Microsoft Exchange accounts) |
account statement | relevé de compte (A detailed report of the transactions and balance of an account) |
account structure | structure de compte (A configuration of the main account financial dimension and other financial dimensions) |
account updater | programme de mise à jour de compte (A feature of Windows 8 mobile broadband networking that is used to bind an account that a user has with a mobile broadband service provider both to a unique identifier that we use in Windows to identify that user, and to the user's SIM card) |
accounting application | application comptable (A program that helps a user perform tasks related to accounting) |
accounting category | catégorie comptable (A classifier used to group journal account entries according to their economic characteristics) |
accounting currency unit | devise comptable (A currency unit used to quantify the financial consequences of accounting events) |
accounting customer | client comptable (A customer in the accounting application that is linked to a Business Contact Manager account) |
accounting data | données comptables (Information from the accounting system) |
accounting distribution | répartition comptable (A distribution of the financial consequence of an economic transaction to ledger accounts) |
accounting event | événement comptable (The occurrence of an accounting action in an accounting system) |
accounting event liquidity classification | classement d'événement comptable en ordre de liquidités (The liquidity classification of an accounting event) |
accounting journal | journal comptable (A journal that is used to record the financial consequences of accounting events in an accounting system) |
Accounting Loader | Chargeur de connexion au logiciel de comptabilité (Software required to connect to the accounting system) |
accounting period | Période comptable (A division of a fiscal year that is reflected on financial statements) |
accounting period | période comptable (A division of a fiscal year that is reflected on financial statements) |
accounting provider | fournisseur de gestion de comptes (A provider that records client activity for analysis or accounting purposes) |
accounting system | logiciel de comptabilité (The accounting program) |
accounts database | base de données des comptes (A database which stores user accounts and their network access properties) |
Accounts page | Page Comptes (The page for creating and administering individual user accounts, and adding new administrators) |
accounts receivable | comptes clients (A group of posting accounts that show the amounts customers owe for services or sales made on credit) |
accrual accounting | comptabilité d'exercice (An accounting method that recognizes revenues when they are earned and expenses when they are incurred, regardless of when they are received or paid) |
action account | compte d'action (The Windows account that is used by the MonitoringHost.exe processes to gather data from providers and to run actions, such as scripts and command-line batch files, on monitored devices) |
Active Directory account | compte Active Directory (The identity of a user, which can be used to grant access to resources or authority to perform certain tasks) |
address (A string that identifies a user so that the user can receive Internet email. An email address on the Internet typically consists of an account name, followed by the | adresse |
administrator account | compte Administrateur (On Windows-based computers, a user account that is a member of the computer's local Administrators group or a member of a group that is a member of the local Administrators group, such as the Domain Admins group in a Windows domain. This is the first account that is created when you install an operating system on a new workstation, stand-alone server, or member server. By default, this account has the highest level of administrative access to the local computer) |
AGPM Service Account | Compte de service AGPM (The account under which the AGPM Service runs) |
balance account | compte de bilan (An account that records transactions about assets and liabilities and that is used in the preparation of the balance sheet) |
balance sheet account | compte de bilan (An account that describes the changes in value reported on a balance sheet) |
beneficiary correspondent account | compte du correspondant bénéficiaire (A 20-digit number used to identify a Central Bank of Russian Federation account needed to facilitate international transactions) |
billing account | compte de facturation (An account where customers manage their payments, dues, invoicing, and contact information for paid Microsoft services. These accounts are managed on the Billing and Account Management website) |
bridging account | compte d'attente (A ledger account into which transactions are entered as they await manual approval by the person who is specified in the journal line) |
built-in administrator account | compte Administrateur intégré (On Windows-based computers, a user account that is a member of the computer's local Administrators group or a member of a group that is a member of the local Administrators group, such as the Domain Admins group in a Windows domain. This is the first account that is created when you install an operating system on a new workstation, stand-alone server, or member server. By default, this account has the highest level of administrative access to the local computer) |
business account | compte (The person or business to which the salesperson tries to sell a product or service) |
Change Sign-In Account... | Modifier le compte de connexion... (An item on the Connect menu that opens the Accounts tab of the Options dialog box, where the user can change sign-in name and Communicator server information) |
child account | compte enfant (An account optimized for children that parents can control and customize) |
client account partner discovery Web page | page Web de découverte de partenaire de compte client (The Web page that is used to interact with a user to determine which account partner the user belongs to when Active Directory Federation Services (ADFS) cannot automatically determine which of the account partners should authenticate the user) |
computer account | compte d'ordinateur (An account that is on a local system or domain) |
Connected Accounts | Comptes connectés (A feature that lets users receive and send mail from other e-mail accounts in Outlook Web App. They can add and delete those accounts, check their account synchronization status, and manage e-mail from those accounts in their Inbox using Inbox rules) |
consolidation account | compte de consolidation (The main account in the parent legal entity that is used for ledger consolidation) |
content access account | compte d'accès au contenu (An account used to crawl Web sites, servers and network resources included in a content index) |
contra account | compte de contre-partie (An account used to reduce an asset or a liability to its current value) |
correspondent account | compte du correspondant (An account established by a banking institution to make transactions on behalf of another financial institution, usually for international transactions) |
cost accounting | comptabilité analytique (The branch of accounting concerned with identifying and evaluating the cost of producing a product) |
crawling account | compte d'analyse (An account used to crawl Web sites, servers and network resources included in a content index) |
customer account statement | relevé de compte client (A form that can be sent to customers that includes the customer's balance and amount due for the statement period) |
designated account | compte désigné (The Microsoft Exchange Server user account that is the sender of control messages) |
desktop dashboard account | compte de tableau de bord pour le Bureau (An account that is required to certify desktop apps for Windows) |
destination company account | compte société de destination (The legal entity that is the recipient of a liability in an intercompany economic transaction) |
disabled user account | compte d'utilisateur désactivé (A user account that does not permit logging on) |
DPMReport account | compte DPMReport (The account that the Web and NT services of SQL Server Reporting Services use to access the DPM database. This account is created when an administrator configures DPM reporting) |
e-mail account | compte de messagerie (The server name, user name, password, and e-mail address used to connect to an e-mail service. You create the e-mail account using information provided by your mail administrator or Internet service provider (ISP)) |
e-mail address (A string that identifies a user so that the user can receive Internet email. An email address on the Internet typically consists of an account name, followed by the | adresse de messagerie |
email address (A string that identifies a user so that the user can receive Internet email. An email address on the Internet typically consists of an account name, followed by the | adresse courriel |
email address (A string that identifies a user so that the user can receive Internet email. An email address on the Internet typically consists of an account name, followed by the | adresse e-mail |
fax account | compte de télécopie (A collection of settings for sending and receiving faxes using a particular fax modem or fax server. Before you can send or receive faxes in Windows, you must set up a fax account) |
fully qualified account number | numéro de compte complet (A ledger account number in which all segments of an account structure are entered and validated) |
global account | compte global (In an Active Directory network, a normal user account in a user's domain) |
group account | compte de groupe (A collection of user accounts in a workgroup, identified by group name and personal ID (PID). Permissions assigned to a group apply to all users in the group) |
Guest account | compte Invité (A built-in account used to log on to a computer running Windows when a user does not have an account on the computer or domain or in any of the domains trusted by the computers domain) |
hardware dashboard account | compte de tableau de bord pour le matériel (An account that is required to submit hardware certification packages, device metadata, service metadata, and drivers for Windows) |
intercompany account | compte intersociétés (An account used to post intercompany transactions) |
International Bank Account Number An account number scheme that is recognized by banks internationally to facilitate credit transfers across national/regional borders | International Bank Account Number, numéro de compte international (IBAN) |
Internet account | compte Internet (A generic term for a registered username at an Internet Service Provider (ISP). An Internet account is accessed via username and password. Services such as dial-in PPP Internet access and e-mail are provided by ISPs to Internet account owners) |
internet e-mail address (A string that identifies a user so that the user can receive Internet email. An email address on the Internet typically consists of an account name, followed by the | adresse de messagerie Internet |
ledger account | compte général (An account in the general ledger that records financial transactions, balances, or totals that pertain to assets, liabilities, revenues, expenses, and owner equity) |
limited account | compte limité (A type of account that allows customers to use a limited set of Windows Live services without signing up for a new e-mail address or providing an existing alternate one. The ID that is created can't be used to send or receive e-mail. A customer with this account type can only reset their password if they subsequently add an alternate e-mail address to their account) |
limited user account | compte d'utilisateur limité (A type of user account that prohibits users from changing most computer settings and deleting important files. While such a user can access applications, they generally cannot install software or hardware, among other things) |
liquidity account | compte de liquidités (A ledger account that records cash transactions for a particular bank or for cash held at the company. For some companies, a liquidity account records transactions in liquid investments that can be sold from day to day) |
Local System account | compte système local (A predefined local account that is used to start a service and provide the security context for that service) |
local user account | compte d'utilisateur local (A user account on a specific computer. A local user account is available only on the computer where the local account is defined) |
main account | compte principal (A classifier of economic resource value based on the claims parties make on the economic resources owned by a legal entity and that is used to classify debit and credit entries in an accounting system) |
main account category | catégorie de compte principal (A classifier of a main account) |
main account code segment | segment principal de code compte (A segment of a general ledger account code that corresponds to the type of account (for example, cash, sales, or travel expense)) |
main account derivation rule | règle de dérivation de compte principal (A rule to determine a main account dimension for classifying the financial consequences of an accounting event) |
managed service account | compte de service administré (A new type of domain account designed to provide applications such as SQL Server or Exchange with automatic password management and simplified service principal name (SPN) management) |
Microsoft account | compte Microsoft (A single set of sign-in credentials (email address and password) that provides user access to PCs running Windows and Live-connected services) |
Microsoft Account for Organizations | Compte professionnel Microsoft (The Microsoft Commerce Platform portal that gives organizations the ability to view, manage, and purchase Microsoft organizational services, licenses, and subscriptions, like O365, Windows Intune, and GSM, from a single location) |
Microsoft account logins | informations de connexion de compte Microsoft (In Windows 8 all windows portal experiences support and persist Live ID logins streamlining the partner experience when working with multiple services and sites) |
My Account | Mon compte (A web experience on Office.com that enables users to manage their Office licenses and subscriptions) |
natural account code segment | segment naturel de code compte (A segment of a general ledger account code that corresponds to the type of account (for example, cash, sales, or travel expense)) |
neglected account | compte négligé (A Business Contact with whom there has been no interaction with for over 30 days) |
news account | Compte de News (An online account, usually provided by an Internet service provider (ISP), that lets users access newsgroups) |
nominal account | compte de gestion (An account that is closed out each fiscal period and whose balance is transferred to retained earnings account) |
offset account | compte de contrepartie (In double-entry accounting, the account used to balance a transaction so that debits equal credits) |
on account | en compte (The extension of credit for purchases) |
on-account payment | paiement en compte (A fixed installment payment that is agreed to in a payment plan) |
on-account statement | relevé d'échéances (A report of invoiced on-account transaction amounts for a project) |
online account | compte en ligne (A single set of sign-in credentials (typically, e-mail address and password) that is used to access the services provided by an online service provider (OSP)) |
opposite account | compte de contrepartie (An account used to balance the gross amount in part or in whole of one or more referenced accounts in an accounting equation) |
organizational account | Compte professionnel (A user account assigned by an organization (work, school, non-profit) to one of their constituents (an employee, student, customer) that provides sign in access to one or more of the organization's Microsoft cloud service subscriptions, such as Office 365 or Windows Azure. These accounts are stored in an organization's cloud directory (also known as Windows Azure Active Directory), and are typically deleted when the user leaves the organization. Organizational accounts differ from Microsoft accounts in that they are created and managed by admins in the organization, not by the user) |
parent account | compte parent (An account that is above other accounts in the hierarchy to which any action taken on the main account entity can propagate to) |
partially qualified account number | numéro de compte incomplet (A ledger account number in which all segments of an account structure are not entered) |
Permanent Account Number | numéro de compte permanent (A 10-character alphanumeric identifier issued by the Indian Income Tax Department to all taxable entities for taxation and identification purposes) |
POP-enabled account | compte POP (An account that can receive mail using the POP3 protocol) |
posting account | compte de report (A financial account that tracks assets, liabilities, revenue, or expenses) |
posting account | compte de validation (A financial account that tracks assets, liabilities, revenue, or expenses) |
profit and loss account | compte de résultat (A revenue or expense account whose balance will be transferred to a retained earnings account at the end of a fiscal year. Balances in profit and loss accounts determine the net income or net loss for the year) |
provisioned credit card processing account | compte de traitement des cartes de crédit provisionnées (An account that has been set up and activated for processing credit card payments and which was set up by using Dynamics Live) |
proxy account | compte proxy (An account that is used to provide additional permissions for certain actions to users which do not have these permissions but have to execute these actions) |
Quick Share Account | Compte de partage rapide (A feature to define the quick upload of images using a user-defined storing location (such as SkyDrive or Facebook) to be listed in the context menu) |
RAS account | compte RAS (A network account that enables a mobile device to remotely access a network) |
real account | compte de valeurs (An account balance that is carried forward into a subsequent fiscal period) |
report server execution account | compte d'exécution du service Web Report Server (The account under which the Report Server Web service and Report Server Windows service run) |
resource account | compte de ressource (A single security principal-usually a user account-that is created in Active Directory Domain Services (AD DS) and used to map to a single federated user) |
responsibility account code segment | segment de responsabilité de code compte (A segment of a general ledger account code that corresponds to a category within the overall structure of the organization, such as location, division, department, area, task, project, or product) |
restricted account | compte restreint (An account that has restricted functionality. In Windows Live, these accounts are designed for children under the age of 13 and provide a limited set of features. For example, restricted accounts don't have permission to synchronize libraries across computers) |
RFID Service account | compte de service RFID (The Windows account whose identity is used to run the BizTalk RFID service) |
RFID Worker Process account | compte du processus de traitement RFID (The Windows account whose identity is used to run worker processes that in turn execute event handlers and providers. This is applicable for Windows Server 2003 only) |
Run As account | compte d'identification (A Windows account that can be associated with a Run As profile, and that can use the Windows Authentication, NTLM, Basic, or Digest methods of authentication) |
salvage account | compte de valeurs résiduelles (An account used to track the salvage value of assets) |
Scrap COGS Account Reversal | comptes de rebut de coût des marchandises vendues (A field in the RMA Type Maintenance window that indicates which account will be used as the Scrap account when the Scrap COGS Override option is set. If this field is selected, the COGS account is selected and the originating document account will be used. If the flag is not selected, the Scrap account from the RMA type will be used) |
service account | compte de service (An account that is intended to be used to run a service. A service account has privileges beyond those provided when a service is run as part of the system, such as the ability to connect over the network to another computer) |
shared user account | compte d'utilisateur partagé (A single user account that is logged on to by multiple users) |
source company account | compte société source (The legal entity that is the origin of a liability in an intercompany economic transaction) |
standard account | compte d'utilisateur standard (A type of user account that allows users to install software and change system settings that do not affect other users or the security of the computer. This account type is recommended for daily use) |
statistical account | compte statistique (A classifier of economic resource quantity used to classify debit or credit entries in an accounting system) |
storage account | compte de stockage (An account that provides access to Windows Azure storage services to obtain persistent, redundant storage in the cloud. The storage services include these fundamental services: 1. Blob service 2. Queue service 3. Table service) |
storage account owner | propriétaire du compte de stockage (The Windows Azure user account used to create the storage account. By default, only the storage account owner has access to containers within the storage account) |
Storno accounting | contre-passation (The practice of using negative numbers to reverse original journal account entries) |
sub-account | sous-compte (An account, and its information, that is included within another account) |
subledger journal account entry | écriture de compte de journal de comptabilité auxiliaire (An account entry in a subledger journal account) |
technical account manager | responsable technique de compte (A Microsoft employee who provides technical assistance to one or more specific royalty OEMs as they manufacture computers installed with a released version of Windows) |
timer account | compte planifié (A dedicated, administrator-level user account that performs scheduled administrative tasks) |
unattended service account | compte de service automatisé (The security account that is used when a data source is configured to connect as a single shared identity for all users) |
user account | compte d'utilisateur (In Active Directory, an object that consists of all the information that defines a domain user, which includes user name, password, and groups in which the user account has membership. User accounts can be stored in either Active Directory or on your local computer) |
User Account Control | Contrôle de compte d'utilisateur (A security feature that helps prevent unauthorized changes to a computer, by asking user for permission or administrator credentials before performing actions that could potentially affect the computer's operation or that change settings that affect multiple users) |
user mode account | compte mode utilisateur (The user account that the software uses to log on user mode) |
virtual account | compte virtuel (A Local Service account that does not require password management. A virtual account is separate from the Local Service, Local System, and Network Service accounts. It uses the computer's account and credentials when it needs network access in a domain environment) |
Windows accounting | gestion des comptes Windows (The accounting process carried out by Windows as accounting provider) |
Windows Live account | compte Windows Live (Private information that a customer provides to establish their Windows Live ID. This information is separate from the customer's (outward-facing) profile and is never shared without explicit consent) |
Windows Store developer account | compte de développeur du Windows Store (An account that is required to submit an app in the Windows Store) |
Windows user account | compte d'utilisateur Windows (All the information that defines a user to the operating system, including the user name and any required password, membership in groups, and the rights and permissions that are associated with the user) |
workflow execution account | compte d'exécution du workflow (A user account that is granted the rights for executing workflows) |