Lawson Insight Technical Documentation

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ERDs Tables Conditions Elements Libraries APIs Forms

PR155


PR155 - Bank Reconciliation

**Form Purpose
Run Bank Reconciliation (PR155) to perform periodic reconciliation.

Included in the report are payment number, payment date, date cleared,
employee name and number, issued amount, and the cleared, voided, or open
amount.

The report provides totals by payment type.




Updated Files

    CKPOINT    - The Universe file used for recovery.

    PRCHECK    - Used to determine which payments print on the report.  PR155
                 updates the payment status when you run the report using the
                 Update option.


Referenced Files

    BANKACCT   - Used to validate the bank account.

    BANKFILE   -

    EMACHDEPST - Used to retrieve employee ACH account information.

    EMPACHDIST - Used to validate the employee ACH distribution.

    EMPLOYEE   - Used to validate the employee.

    PAYMASTR   -

    PRSYSTEM   - Used to validate the company and process level.