Forum: Lawson S3 Financials

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How to Require Activity & Account Category    

Started by  Gary
AC07 lets you limit an Activity and/or Account Category to specific GL Company, Accounting Unit, etc. but it doesn't appear to stop a user from entering no Activity/Account Category at all. Any way to require the entry of Activity and Account Category
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by  CindyJump to last post
5/2/2013 2:21 PM

AC500 - report showing duplicated lines..    

Started by  johne
and if so, have you searched / found a patch to correct the problem.. QA person is testing against a 9.0.1.8 version of AC500. appears to have the report duplicating the last line of information on the 'Valid Records Listing' section when there is an 'Error Records Listing' section that follows. does not occur when there is not an error record group. I'm not finding anything in any of the Lawson KB areas & was just wanting to see if anyone else is seeing the same issue. header o...
0 3058 0
4/29/2013 7:45 PM

GL40 Status Message Account Category Required    

Started by  Ken Carley
Does anyone have any ideas why this may be the return message S3 9.0.1 Portal status message reads 'Account Category Required' when selecting &91;Change&93; for a two line entry. Each line's 'FC' is set to 'A'. Thanks for your time! I know this is wrong but I would like to know if anyone has seen it before. :crazy: Regards, Ken
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by  Ken CarleyJump to last post
4/29/2013 5:19 PM

Lawson Excell Add-Ins    

Started by  Jeff Pratte
We have a MS Excel Add-in that has the Lawson server URL hard-coded into the Lawson Add-Ins login screen. How do we change that server address Thanks, Jeff
2 3630 0
by  John HenleyJump to last post
4/29/2013 12:44 PM

GL security classes for LSF9 security    

Started by  Deleted User
We are in the process of switching to LSF9 security. We are in the early stages of defining the security classes for the General Ledger group and are just wanting to know what items we need to look out for in the set ups. Thank you.
3 3104 1
by  GeorgetteJump to last post
4/25/2013 3:08 PM

Colliding Allocations CA190 GL190    

Started by  Joseph Carfagno
Lawson will not process an allocation for a company if a GL190 is running. We normally run the CA190 for company groups. This can leave some allocations in a group processed and others in a released or processed state. This can get very confusing at month end. Both GL190 and CA190 are compiled as non-concurrent for us but I'd like for there to be a way to prevent CA190s from running when a GL190 is running and vice versa. Our Finance people are in muliple locations so coordination of work i...
1 2976 1
by  BarbaraJump to last post
4/14/2013 12:53 PM

I need last updated column details on tables    

Started by  Healthcare User
Working on a client task to extract delta from all tables now chose 120 tables, Can someone please kindly if you have last updated date column details, which keeps track of record last updated dates. Please i am working on a task, to extract day to day data, based on dates preferably. I see some tables has created dates, which is only kee&91;ping teh created date info. But not updated dates. Does any one has any details on last update details of table rows, i would...
0 3006 0
4/12/2013 12:14 AM

PTO GL Questions (XPosted)    

Started by  Kelly H
Does your system pass the PTO from the LP to the GL side as the PTO is earned or is the bank balance calculated at the end of the month How often is the LP198 ran
0 2817 1
4/8/2013 2:09 PM

Laser Check Printing File Security    

Started by  Brian
We had a problem with check fraud when an A/P clerk edited the AP161 electronic payment flat file. I cannot lock down the A/P users folder rights because our laser printing software will crash when removing the file after importing. How do others handle this security hole Thanks, Brian
3 3454 0
by  BrianJump to last post
3/31/2013 4:40 PM

AP270 invoice detail?    

Started by  clb393
To perform a reconciliation I need to find the employee detail that populated the invoice amount on the AP270. Any idea how i would get there Example - on the AP270 for Vendor 2611xx Invoice 500113030812513xxxx there is a payment amount of $54.00 to United Way. Where would i look to find the employee detail that populated that $54.00 Or should i look within the Voucher Is so, where should i look for that Thanks, Chris
3 3033 0
by  Greg MoellerJump to last post
3/28/2013 1:24 PM

Report over PO     

Started by  sgoins
I am trying to find a way to run AP report that provides both invoice as well as PO. Just wondering if anybody had any suggestions on the best way to do this Any help would be appreciated. Thanks!
4 2595 1
by  Greg MoellerJump to last post
3/27/2013 5:07 PM

Asset Management S3    

Started by  Leo Montaos
If i have an Asset type 'Equipment' and under that type I have 2 assets, 1 asset should allocate the depreciation to multiple cost center and the 2nd asset under this type should not be allocated, how can this be done If i add allocation in AM06.6 this allocation will get assigned on the TYPE level therefore the 2nd asset will also get allocated which is i dont want to happen.. thanks
0 2794 0
3/14/2013 8:09 PM

Asset Management    

Started by  Leo Montaos
Dear Lawson Gurus, Is it Possible to processed a Leased assets in Lawson without using the Leased management In the user guide the last step is LM121 or LM21 is this mandatory Also, i would really appreciate if you could provide to me the best practices in lawson for Asset Management. Thank you..
0 3620 0
3/14/2013 7:48 PM

need help with benchmarking    

Started by  DougAB
I am looking for a benchmark as to how long uploading 9000 records would/should take into the AR550 program. I would really appreciate it if someone was willing to upload the attached file that I am providing, or just do one with your own data, and let me know how long it takes for the AR550 to complete. I'm sure you already know, but you would first have to do an 'importdb', then do the AR550. For the 'importdb' - the Options field should be 'ad'; and the DB File Name field should be 'A...
1 2597 1
by  DougABJump to last post
3/12/2013 7:57 PM

Prior year reqs    

Started by  TerryL
I ran RQ140 and found some old Unreleased reqs and a few that are in Needs Approval status from a prior year that is closed. What is the best way to get rid of those reqs out of the system
0 2525 0
3/11/2013 11:46 PM

How do I create a new ATN-OBJ-ID?    

Started by  Donna
I need to populate forms GL76 and AC46 directly from SQL. We are pulling from a different system and do not want to use Add-Ins. I know that I will need to have an ATN-OBJ-ID and a new GLT-OBJ-ID for the rows that will be inserted into ACCOMMITX and GLCOMMITX. Which table would have the last number used for these fields Are these calculated bases on data in a particular table
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3061 2
by  DonnaJump to last post
3/7/2013 10:13 PM

Vendor file read    

Started by  slm4
I have never tried to read or use the vendor file before. I have been ask to create a file of all of the vendors for export. I need to know the coding to read file sequentially and any checks I would need to do in order to create that. Thanks.
7 3481 0
by  slm4Jump to last post
3/4/2013 7:30 PM

Physical 2 Virtual converstion    

Started by  Chad
We have a problem with our physical server that every time that we have to reboot it, it becomes unstable and unusable for users. Infor support can not come up with why this is happening and frankly has not been getting a good direction for a fix from any of the logs. In order to try and get a copy of the physical server, separated from our production server, so that it can be further trouble shoot I did a p2v conversion using vmware standalone converter tool. Everything went well but I can n...
0 2789 1
2/27/2013 5:05 PM

Reconciling A/P to G/L    

Started by  martyzoet
How does one go about reconciling A/P to the General Ledger. In the simplist form of the question, wouldn't the open invoice total equal the G/L A/P account balance If I run AP230, that will give me open invoices as of the run date. But I need open invoices as of year end date (putting the cut-off date in only looks at invoices with that date or prior, not OPEN invoices as of that date). It would seem to be a simple task but I'm unable to determine how to go about it.
1 3582 0
by  martyzoetJump to last post
2/25/2013 8:18 PM

Consolidation company    

Started by  Display Name
Would be consolidating 2 live companies with the same chart/levels/currency. Both live companies use zone balancing and have intercompany relationships set up. Do I need to set up zone balancing in my elimination or consolidation company Does the elimination company need intercompany relationships to the live companies more to follow, let's start here first... Thank you
2 3661 2
by  Display NameJump to last post
2/24/2013 12:39 PM

Lawson Monitor    

Started by  RickyY
Hello All, I was wondering if anyone out there have use anything software that monitor Lawson to show performance, connection issue, send out alerts if system is down or performing slower than it should, etc Thanks. ricky
4 3205 0
by  RickyYJump to last post
2/22/2013 11:21 PM

GL - Reopen Final Close Period    

Started by  LauraSantos
We need to reopen a GL period that was accidentally closed with a Final Close status. I have a ticket open with Lawson support but they have not provided much help. Can anyone confirm if the steps below are correct 1. Create a quick paint utility of GLSYSTEM 2. Update the PER-END-CODE field from F (Final) to L (Limited) for the last period of 2012 (12/31/12). 3. I assume the user will then be able to use the Backpost option to reopen the period to add additional journal entries. 4. ...
1 6522 1
by  John HenleyJump to last post
2/19/2013 3:42 PM

Accounts payable processing    

Started by  jwhip
I'm looking for some information on how other companies using Lawson upload AP files for National/Large vendors as opposed to keying them in manually or manipulating electronic files from the vendor to load Thanks!!
3 3312 0
by  Kat VJump to last post
2/18/2013 9:00 PM

User Audit Trail? - AR82.1 - Returned Payment    

Started by  Garth Gerwing
In evaluating the results of AR82.1 - Returned Payment - I am not seeing anything relating to a user/login audit trail on the resulting Debit Memo It would appear that Lawson is ignoring/breaking some of it's own data architecture rules in creating these results: - does not enforce/write a Debit Memo Reason Code (even though this is a required value for any debit memos being entered into AR) - does not write a corresponding TX Batch occurrence (BLINVHDR) - even though the Debit Memo is ...
0 3078 0
2/15/2013 7:18 PM

Open A/P Invoices    

Started by  martyzoet
How do I get a list of all open A/P invoices that were open as of a certain date
0 2731 0
2/12/2013 5:54 PM
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