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| Library Containing this Routine: |  
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| EDAC60CP |  
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| Forms calling this Library: |  
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| WH830 | Shipment Load Program |  
| WH520 | Batch Feedback Interface |  
| WH40 | Bill Of Lading |  
| WH34 | Component Feedback |  
| WH33 | Detail Feedback |  
| WH32 | Shipping Feedback |  
| WH31 | Packing Feedback |  
| WH30 | Picking Feedback |  
| WH222 | Shipments In Process |  
| WH20 | Allocation |  
| WH190 | Shipment Release |  
| WH132 | Batch Feedback |  
| WH130 | Pick List Print |  
| UK560 | UK Payroll History Load CSV |  
| UK47 | Employee Attachment of Earning |  
| UK46 | Attachment of Earnings Types |  
| UK102 | Bonus Pay Update |  
| TX804 | Tax Transaction Conversion |  
| TX40 | Tax Inquire for Vertex Quantum |  
| TX300 | Tax History Purge |  
| TX226 | Purchasing and Sales Journal |  
| TX204 | Tax Transaction Listing |  
| TX140 | Vertex Quantum Geocode Update |  
| TX120 | Value Added Tax Return Report |  
| TX101 | Journal File Create |  
| TX100 | Tax Analysis Report |  
| TX04 | Tax Transaction |  
| TX02 | Tax Code Maintenance |  
| TX00 | Company |  
| TR12 | Employee Cost Setup |  
| TR11 | Session Costs Setup |  
| TR10 | Course Cost Setup |  
| TA60 | Employee Pln Master Maint |  
| TA40 | Canadian Vacation Plan Maint |  
| TA20 | Time Accrual Plan Maint. |  
| TA196 | Canadian G L Liability Posting |  
| TA195 | General Ledger Liability Updat |  
| TA147 | Canadian Vacation Audit |  
| SNSP | Import Spending Planned |  
| SNRP | Import Revenue Planned |  
| SL40 | Error Transaction Edit |  
| RQIJ | Requistion Copy |  
| RQIH | Invoke Determine Express Data |  
| RQIG | Get Shopping List Invoke Objec |  
| RQIF | RQRLNUPD Invoke Object |  
| RQID | RQRQHUPD Invoke Object |  
| RQIC | Get Item List Invoke Object |  
| RQIB | RQRQHUPD Invoke Object |  
| RQ810 | Request Location Load |  
| RQ500 | Requisition Interface |  
| RQ35 | Requisition Returns |  
| RQ13 | Direct Approval |  
| RQ12 | Approval Review |  
| RQ11 | Kit Accessories |  
| RQ10 | Requisition |  
| RQ01 | Requesting Locations |  
| PW510 | Activity Interface - OLD |  
| PW110 | Activity Interface |  
| PR85 | Payment Reconciliation |  
| PR82 | Payroll Adjustment Program |  
| PR80 | Manual Payment Entry |  
| PR70 | Payroll GL Dist - Currency err |  
| PR560 | Payroll History Load CSV |  
| PR55 | Dist Summary Type Inquiry |  
| PR539 | One Time Deduction Load |  
| PR530 | Time Record Interface CSV |  
| PR529 | Pension Payroll Conversion |  
| PR514 | Employee Deduction Master Load |  
| PR47 | Canadian Employee Garnishment |  
| PR46 | Canadian Garnishment Types |  
| PR45 | Time Card Error Process |  
| PR39 | One Time Deductions |  
| PR36 | Time Record Maintenance |  
| PR35 | Time Record Maintenance |  
| PR33 | Time Speed Entry |  
| PR32 | Employee Daily Time Entry |  
| PR30 | Standard Time Record |  
| PR295 | Payroll Distribution Hist |  
| PR29 | Pension Payment Maintenance |  
| PR285 | Dist Summ Type Report |  
| PR26 | Employee Garnishment |  
| PR25 | Garnishment Types |  
| PR247 | C Employee Garnishment Listing |  
| PR246 | Can Garnishment Rules Listing |  
| PR24 | Shift Table |  
| PR23 | Distribution Maintenance |  
| PR226 | Employee Garnishment Listing |  
| PR225 | Garnishment Rules Listing |  
| PR223 | Payroll Distribution List |  
| PR220 | Pay Class / Pay Sum Group |  
| PR205 | Deduction Listing |  
| PR20 | Pay Code Maintenance |  
| PR198 | General Ledger Posting |  
| PR197 | Payroll Close |  
| PR195 | Accrual Program |  
| PR189 | Gross Up Calculation |  
| PR15 | Emp Deduction Speed Entry |  
| PR14 | Employee Deduction Maintenance |  
| PR136 | Missing Time Record Rpt-Update |  
| PR134 | Automatic Time Records |  
| PR132 | FLSA Overtime Calculation |  
| PR131 | Retroactive Pay Calculation |  
| PR130 | Canadian Vacation Payout |  
| PR13 | Employee Taxes |  
| PR128 | Offset Time Record Creation |  
| PR120 | Mass Pay Increase Program |  
| PR113 | US Tax Deduction Update |  
| PR110 | Step And Grade Audit |  
| PR05 | Deduction Code Maintenance |  
| PR04 | Funding Sources |  
| PR01 | Bank Account Code Maintenance |  
| POIT | Invoke PO Total Method |  
| POIM | GL Budget Ck for PO and RQ |  
| POIJ | Invoke for POPLIUPD |  
| POII | Invoke for POPCRUPD |  
| POIG | MMDIST Budget Check |  
| POIF | MMDIST Activity Commit |  
| POID | PO Delivery Ticket Select |  
| POI7 | POI7 Print Object |  
| POI3 | Invoke for POPI70PD |  
| POED | PO Edits |  
| PO54 | Purchase Order Inquiry |  
| PO536 | Vendor Price Agreement Load |  
| PO520 | Purchase Order Interface from |  
| PO52 | Buyer Message - Receiving |  
| PO50 | Buyer Message Entry |  
| PO44 | PO Line Source |  
| PO39 | Additional Receiving Entry |  
| PO38 | ERS AOC Entry |  
| PO36 | Vendor Catalog Maintenance |  
| PO35 | Receiving Approval and Release |  
| PO34 | Inspection Accept or Reject |  
| PO33 | Receiving Adjustment |  
| PO32 | GL distribution for returns |  
| PO31 | Vendor Return |  
| PO300 | PO and Receipt Purge |  
| PO30 | PO Receiving |  
| PO29 | Copy Purchase Order |  
| PO278 | RNI Aging Report |  
| PO27 | Create PO Release From Blanket |  
| PO26 | Po Message Review |  
| PO254 | PO Inquiry Report |  
| PO253 | Item Receipt Volume Report |  
| PO25 | Vendor Agreements |  
| PO24 | Purchase Order Direct Approval |  
| PO233 | PO Received Quantity Exception |  
| PO23 | Purchase Order Worksheet |  
| PO229 | Vendor Agreement Format Print |  
| PO223 | Buyer Expediting Report |  
| PO220 | PO Status Report |  
| PO22 | Authorization, Release |  
| PO21 | Po Additional Info Aoc Entry |  
| PO20 | Purchase Order Entry |  
| PO190 | Close Purchase Order Header |  
| PO150 | Bid Load to Contract-Catalog |  
| PO15 | Procurement Templates |  
| PO139 | Standard Cost Calculation |  
| PO136 | Matched, Not Received Report |  
| PO135 | Received, Not Invoiced Report |  
| PO132 | Print Vendor RMA |  
| PO131 | Receiving Log |  
| PO122 | Transmitted PO Acknowledgement |  
| PO120 | Mass PO Issue |  
| PO115 | Procurement Template Mass Chan |  
| PO101 | Create Standing PO Release |  
| PO100 | PO Interface |  
| PO10 | PO Vendor |  
| PD570 | P-card Charge Import |  
| PD235 | P-Card Merchant Report |  
| PD22 | P-Card Charge Accounts |  
| PD21 | P-Card Charge Detail |  
| PD20 | P-Card Charge Approval |  
| PD130 | P-Card Invoice and Release |  
| PD10 | P-Card Card Request |  
| PD01 | P-Card Program Setup |  
| PA90 | Health, Safety Incident |  
| PA590 | Health,Safety Incident Convers |  
| PA52 | Personnel Action |  
| PA513 | Position, Job Conversion |  
| PA502 | Position Conversion |  
| PA48 | Tests |  
| PA248 | Test Listing |  
| PA182 | Salary Encumbrance Update |  
| PA13 | Multiple Positions |  
| PA115 | Employee Purge |  
| PA102 | Position Update |  
| PA100 | Action Update |  
| PA02 | Position Maintenance |  
| MX500 | Attribute Value Population |  
| MX123 | List Member Build |  
| MAPL | Process Level |  
| MAI1 | Invoke for MAMATCH Object |  
| MA80 | Online Receipt Archive |  
| MA75 | PO Invoice Cancel |  
| MA70 | Reverse Match |  
| MA68 | Prepaid Reconciliation Queue |  
| MA67 | Update from frontend recon |  
| MA66 | Review Invoice Message |  
| MA65 | Match Detail Maintenance |  
| MA63 | Receipt Match |  
| MA61 | Match Invoice Approval Screen |  
| MA60 | Reconciliation Queue |  
| MA540 | EDI Invoice Match Interface |  
| MA531 | Receipt Interface |  
| MA530 | ERS Invoice Creation |  
| MA43 | PO Line Matching Approval |  
| MA41 | Add-On Cost Approval Entry |  
| MA310 | Pool Count Rebuild |  
| MA279 | Invoice AOC Detail Report |  
| MA208 | Add On Cost Master Listing |  
| MA180 | Open Receipt Archive |  
| MA08 | Add On Cost Code |  
| MA05 | Handling Code |  
| MA01 | Company |  
| LP80 | Employee Absence Plan Transfer |  
| LP31 | Employee Absence Plan Master |  
| LP198 | General Ledger Liability Updat |  
| LP197 | Absence Plan Close |  
| LP180 | Mass Absence Plan Transfer |  
| LP130 | Absence Plan Payout |  
| LP101 | Mass Absence Plan Add |  
| LP100 | Employee Absence Plan Update |  
| LP03 | Service Rule |  
| IFGT | GLTRANS Interface |  
| IFCU | Currency Calculation |  
| IC850 | Transaction Load |  
| IC812 | Item Location Load |  
| IC811 | Item Master Load |  
| IC330 | Item Mass Change |  
| IC204 | General Ledger Category Listin |  
| IC202 | Location Listing |  
| IC17 | Reason Codes |  
| IC130 | General Ledger Interface |  
| IC12 | Item Location |  
| IC11 | Item Master |  
| IC04 | General Ledger Category |  
| IC02 | Location |  
| HS36 | Pending Time Records |  
| HR511 | Employee Conversion |  
| HR506 | Job Code Conversion |  
| HR211 | Employee Listing |  
| HR206 | Job Code Listing |  
| HR202 | Department Listing |  
| HR201 | Process Level Listing |  
| HR200 | Company Listing |  
| HR11 | Employee Maintenance |  
| HR06 | Job Codes |  
| HR02 | Department Maintenance |  
| HR01 | Process Level Maintenance |  
| HR00 | Company Parameters Maintenance |  
| GL70 | Recurring Journal Entry/mainte |  
| GL67 | Balance Interface Maintenace |  
| GL65 | Transaction Interface Maint |  
| GL62 | AU Attribute Interface Maint |  
| GL500 | Fiscal Year Change |  
| GL45 | Journal Entry Control |  
| GL44 | Report Currency Entry |  
| GL41 | Ledger Journal Entry Inquiry |  
| GL40 | Journal Entry |  
| GL30 | Interzone Account Maintenance |  
| GL270 | Recurring Journal Edit Listing |  
| GL25 | Intercompany Account Maint |  
| GL240 | Journal Edit Listing |  
| GL235 | AR Currency Rounding GL Report |  
| GL230 | Interzone Relationship Listing |  
| GL197 | GL Commitment Period Closing |  
| GL195 | Translation Calculation |  
| GL191 | Currency Revaluation |  
| GL190 | Journal Posting |  
| GL170 | Recurring Journal Interface |  
| GL167 | Balance Interface |  
| GL165 | Transaction Interface |  
| GL162 | AU Attribute Interface |  
| GL148 | Zone Rebalancing |  
| GL146 | Batch Journal Control |  
| GL145 | Journal Entry Hold Release |  
| GL135 | Intercompany Chart Map Posting |  
| FB65 | Budget Interface Maintenance |  
| FB45 | Budget Journal Entry Control |  
| FB40 | Budget Journal Entry |  
| FB35 | Interbudget Relationships |  
| FB31 | Computed Budget Maintenance By |  
| FB30 | Computed Budget Maintenance By |  
| FB296 | Budget Audit |  
| FB265 | Budget Interface Listing |  
| FB240 | Budget Journal Edit Listing |  
| FB231 | Computed by Account Listing |  
| FB230 | Computed by Acct Unit Listing |  
| FB211 | Budget Edit Group Listing |  
| FB21 | Budget Maintenance |  
| FB20 | Budget Maintenance |  
| FB190 | Budget Double Entry Posting |  
| FB165 | Budget Interface |  
| FB145 | Budget Batch Journal Control |  
| FB121 | Intercompany Mass Budgeting |  
| FB111 | Budget Edit Group Build |  
| FB11 | Budget Edit Group |  
| ETI2 | Invoke for PRTRDPD |  
| ETI1 | Invoke for PROTDPD |  
| ET545 | Advance and Payback Interface |  
| ET542 | Expense Interface |  
| ET540 | Activity Time Record Interface |  
| ET530 | Payroll Time Record Interface |  
| ET175 | Company Paid Expense Posting |  
| EE520 | Expense Interface |  
| EE35 | Employee Expense Approval |  
| EE20 | Employee Expense Report Entry |  
| EE175 | Company Expense Posting |  
| EE135 | Mass Employee Release |  
| EE05 | Employee Expense Codes |  
| DT92 | Dishonored Resolution |  
| DT90 | Dishonor Drafts |  
| DT80 | Draft Cashing Selection |  
| DT70 | Remittance Maintenance |  
| DT190 | Bill of Exchange Closing |  
| DT185 | Process Dishonored BOEs |  
| DT181 | Bank Presentation Cashing Upda |  
| DT180 | Bank Presentation, Cashing Upd |  
| DT170 | Risk Review |  
| CXCP | Copy preference to case |  
| CU203 | Company Currency Gain/Loss Acc |  
| CU03 | Currency Relationship Accounts |  
| CB554 | Payment Load |  
| CB55 | Payment Entry |  
| CB544 | Returned Payment Load |  
| CB543 | Receipts Load |  
| CB54 | Payment Load Maintenance |  
| CB500 | Bank Transaction Interface |  
| CB50 | Bank Trans Interface Maint |  
| CB46 | Returned Payment Entry |  
| CB45 | EFT Extract Entry |  
| CB44 | Returned Payment Maintenance |  
| CB43 | Receipts Load Maintenance |  
| CB30 | Reconciliation Adjustment |  
| CB20 | Bank Transaction Entry |  
| CB191 | Bank Statement Close |  
| CB185 | Bank Tape Mass Reconciliation |  
| CB180 | Cash Ledger Void Update |  
| CB150 | Mass Release |  
| CB15 | Bank Fund Transfer |  
| CB145 | EFT Extract Update |  
| CB10 | Cash Receipt Deposit |  
| CB07 | Stale Dating Accounts |  
| CB06 | Bank Statement |  
| CB03 | Cash Receipt Category |  
| CB00 | Bank Setup |  
| CA60 | Transaction Interface Maint |  
| CA290 | Allocation Ledger |  
| CA210 | Allocation Edit Listing |  
| CA190 | Allocation Interface |  
| CA160 | Allocation Code Interface |  
| CA110 | Allocation Calculation |  
| CA10 | Allocation  Maintenance |  
| BS32 | Stop Benefits |  
| BS15 | Election Inquiry for Contrib |  
| BS14 | Election Inquiry for Coverage |  
| BS13 | Election Inquiry for Cov Opt |  
| BRIP | Invoice Print Program |  
| BR70 | Product Contract Interface |  
| BR570 | Product Contract Interface |  
| BR530 | Revenue Import |  
| BR521 | Billing Import |  
| BR52 | Maintenance Schedule |  
| BR51 | Product Contract |  
| BR48 | Customer Template |  
| BR46 | Bill in Advance |  
| BR43 | Revenue Adjustment |  
| BR420 | Billing Invoice Report |  
| BR41 | Contract Adjustment |  
| BR20 | Invoice Edit |  
| BR180 | Location Vertex Geocode Update |  
| BR16 | Service Location |  
| BR156 | Maintenance Quote |  
| BR155 | Maintenance Schedule Copy |  
| BR154 | Maintenance Revenue Calculatio |  
| BR153 | Product Revenue Calculation |  
| BR152 | Maintenance Invoicing |  
| BR151 | Product Billing Calculation |  
| BR140 | Billing and Revenue Backout |  
| BR130 | Revenue Calculation |  
| BR124 | Deferred Revenue Adjustment |  
| BR123 | Product Invoice Cancel |  
| BR122 | Online batch invoice process |  
| BR121 | Invoice Print and Interface |  
| BR120 | Invoice Calculation |  
| BR11 | Customer |  
| BR02 | Retainer |  
| BR00 | Activity Billing |  
| BN81 | Cash Entry/application |  
| BN80 | Manual Invoice Entry |  
| BN72 | Retiree Benefit Maintenance |  
| BN71 | Participant Benefit Maint |  
| BN65 | Benefit Simulation |  
| BN531 | Batch Benefit Enrollment |  
| BN45 | Employee Flexible Dollars Main |  
| BN32 | Benefit Changes |  
| BN31 | Benefit Speed Entry |  
| BN305 | Highly Compensated Employee Re |  
| BN245 | Benefit Election Form |  
| BN215 | Plan Parameter Listing |  
| BN200 | Company Parameter Listing |  
| BN20 | General Ledger Overrides |  
| BN190 | General Ledger Update |  
| BN150 | Life Insurance Reportable Inco |  
| BN15 | Benefit Plan |  
| BN145 | Flexible Dollars Calculation |  
| BN105 | Plan Update |  
| BN104 | Frequency Table Update |  
| BN103 | Mass Benefit Termination |  
| BN102 | Plan Employee Update |  
| BN101 | Mass Benefit Add |  
| BN100 | Employee Change Benefit Update |  
| BN00 | Company Parameters Maintenance |  
| BL92 | Released Invoices |  
| BL820 | Invoice Load |  
| BL81 | Invoice Line Inquiry |  
| BL802 | Ship-to Load |  
| BL80 | Invoice Inquiry |  
| BL520 | Billing Interface |  
| BL44 | Discount Code Maintenance |  
| BL32 | Comments for recurring invcs |  
| BL31 | Customer Recurring Invoice |  
| BL30 | Recurring Invoices |  
| BL293 | GL Distribution Report |  
| BL290 | Sales Journal |  
| BL29 | Invoice Batch |  
| BL21 | Invoice Programmable Windows |  
| BL209 | Add-On Charges Listing |  
| BL205 | Sales Class Accounts Listing |  
| BL201 | Process Level Listing |  
| BL200 | Company Listing |  
| BL20 | Invoice Entry Screens |  
| BL199 | Subledger Close |  
| BL130 | Create Recurring Invoices |  
| BL123 | Sub-System Update |  
| BL122 | Invoice and Register Print |  
| BL121 | Invoice Verification Report |  
| BL120 | Invoice Batch Release |  
| BL12 | Freight Codes |  
| BL09 | Add On Charge |  
| BL05 | Oe Sales Class Maintenance |  
| BL02 | Ship To |  
| BL01 | Process Level Parameters |  
| BL00 | Company Parameters |  
| ARLL | AR Lawson-to-Lawson Interface |  
| AR99 | Conversion Record Maintenance |  
| AR95 | Distribution Inquiry |  
| AR82 | Returned Payment Maintenance |  
| AR580 | Payment2 Interface |  
| AR575 | Payment Interface |  
| AR570 | Lock Box Interface |  
| AR560 | Transaction Interface |  
| AR550 | Customer Interface |  
| AR504 | Application Conversion |  
| AR501 | Customer Conversion |  
| AR48 | AR to AP Interface |  
| AR44 | Invoice Obligation Grouping |  
| AR43 | Invoice Batch Inquiry Release |  
| AR42 | Transaction Entry |  
| AR39 | Transaction Write-Off |  
| AR38 | Adjustment Maintenance |  
| AR35 | Application Adjustment Entry |  
| AR34 | Line Item Application |  
| AR33 | On Account Application |  
| AR32 | Contract Activity Application |  
| AR30 | Cash Entry and Application |  
| AR295 | Distribution Report |  
| AR29 | Cash Transfer |  
| AR24 | Cash Batch Inquiry Release |  
| AR238 | Adjustment Maintenance Edit |  
| AR21 | Cash |  
| AR20 | Batch Entry |  
| AR197 | Self Balancing Report |  
| AR196 | Unrealized Gain Loss Report |  
| AR195 | Distribution Closing |  
| AR190 | Application Closing |  
| AR15 | Operational Code |  
| AR14 | Lock Box |  
| AR135 | Automatic Transaction Removal |  
| AR131 | Automatic Memo Application |  
| AR130 | Automatic Cash Application Aud |  
| AR129 | Automatic Prepayment Apply |  
| AR124 | Cash Batch Release Report |  
| AR115 | EFT Payment Creation |  
| AR10 | Customer |  
| AR08 | Customer Defaults |  
| AR02 | Process Level Maintenance |  
| AR01 | Company Maintenance |  
| API5 | Invoke for APIBAL70PD Object |  
| API4 | Invoke for APVO80PD Object |  
| API3 | Invoke for APVL80PD Object |  
| API2 | Invoke for APCBINVPD Object |  
| API1 | Invoke for APRI70PD Object |  
| AP95 | Distribution Inquiry |  
| AP91 | Vendor Activity |  
| AP90 | Ap Inquiry |  
| AP520 | Invoice Interface |  
| AP510 | Vendor Conversion |  
| AP305 | AP Company Purge |  
| AP30 | Released Invoice Adjustments |  
| AP275 | Invoice Distribution History |  
| AP27 | Single Invoice Release |  
| AP26 | Invoice Registration Release |  
| AP25 | Batch And Invoice Control |  
| AP237 | Distribution Approval Listing |  
| AP23 | In Transit Invoice Entry |  
| AP220 | Invoice Edit Report |  
| AP210 | Vendor Listing |  
| AP21 | View Distributions |  
| AP205 | Accounts Payable Codes Listing |  
| AP20 | Invoice Entry |  
| AP195 | Period Closing |  
| AP193 | Recurring Invoice Update |  
| AP191 | Unrealized Gain/Loss |  
| AP190 | Invoice Reinstatement |  
| AP185 | Bill of Exchange Distribution |  
| AP181 | Bill of Exchange Stmt Update |  
| AP180 | Bill of Exchange Cashing Upd |  
| AP176 | Match Discount Posting |  
| AP175 | Invoice Distribution Closing |  
| AP170 | Payment Closing |  
| AP131 | Chargeback |  
| AP126 | Invoice Registration Release |  
| AP125 | Batch Release |  
| AP115 | Vendor Merge |  
| AP110 | Mass Vendor Update |  
| AP10 | Vendor Maintenance |  
| AP05 | Ap Parameter Maintenance |  
| AP03 | Attributes |  
| AP00 | Vendor Group-Company Set Up |  
| AM99 | Transaction Balance Update |  
| AM98 | Asset Book Interface Adjust |  
| AM97 | Item Interface Adjustment |  
| AM96 | Asset Interface Adjustment |  
| AM93 | Transaction Conversion Adjust |  
| AM92 | Additional Book Conversion Adj |  
| AM88 | AM Data Mart Definition |  
| AM85 | Activity Analysis |  
| AM80 | Transaction Analysis |  
| AM75 | Account Analysis |  
| AM551 | Item Update Adjustment Interfa |  
| AM51 | Item Adjustment |  
| AM502 | Additional Book Conversion |  
| AM500 | Asset Management Interface |  
| AM41 | Reinstate Disposed Assets |  
| AM40 | Disposals |  
| AM30 | Transfers |  
| AM282 | Class Depreciation Report |  
| AM270 | Account Balance Report |  
| AM230 | Transfer Report |  
| AM21 | Lease Additions,Adjustments |  
| AM20 | Additions,Adjustments |  
| AM195 | Year End Close |  
| AM192 | Short Year Close |  
| AM190 | Period Close |  
| AM19 | PO Line Asset Details |  
| AM180 | Depreciation Calculation and L |  
| AM170 | Processing Release |  
| AM154 | AM Bar Code File Interface |  
| AM15 | Asset Interface |  
| AM145 | Mass Disposals |  
| AM135 | Mass Transfers |  
| AM125 | Mass Adjustments |  
| AM12 | Addition Template |  
| AM117 | Mass Distribution Split |  
| AM115 | Mass Additions |  
| AM06 | Type |  
| AM05 | Account Group |  
| AC71 | Activity Template |  
| AC560 | Setup Interface |  
| AC56 | Setup Interface Adjustment |  
| AC540 | Transaction Interface |  
| AC54 | Transaction Interface Maint |  
| AC527 | AC to GL Budget Interface |  
| AC520 | Resource Interface |  
| AC52 | Resource Interface Adjustment |  
| AC500 | Activity Interface |  
| AC50 | Activity Interface Adjustment |  
| AC490 | Activity Reconciliation |  
| AC45 | Transaction Edit |  
| AC42 | Subcontractor Time Entry |  
| AC41 | Resource Journal Entry |  
| AC40 | Journal Entry |  
| AC30 | Activity Allocation |  
| AC256 | Transaction Writer Report |  
| AC210 | Activity Listing |  
| AC197 | Burden recalc by cost |  
| AC190 | Activity Posting |  
| AC19 | Multiple Activity Speed Add |  
| AC160 | Asset Management Interface |  
| AC145 | Mass Transaction Backout |  
| AC113 | Activity Mass Change |  
| AC10 | Activity |  
| AC04 | GL Code |  
| AC03 | Resource |  
 
 |