AC490 - Activity Reconciliation Run AC490 (Activity Reconciliation) to reconcile activity transactions to General Ledger accounts. You can run the report for a range of dates and accounts. A summary version of the report contains account or activity/account category totals. A detail version includes transaction detail and the account or activity/account category totals. It is sorted by activity or account. Updated Files CKPOINT - Used for restart capability. MXLISTHDR - Updates the Last Build Time and Last Build Date fields on this file. MXLISTMBR - Updates the new activities included in the list. Referenced Files ACACCTCAT - References this file to validate the account category and retrieve the description. ACACTGRP - References this file to validate the activity group and retrieve the activity group description. ACACTIVITY - References this file to validate the activity and retrieve the activity information. ACACTMXVAL - References this file to validate activity attributes and values. Used with activity lists. ACAMCODE - References this file to validate the activity asset. Used with activity lists. ACASSIGN - References this file to validate the manager resource assigned to the activity. Used with activity lists. ACCUSTOMER - References this file to validate the activity customers. Used with activity lists. ACLEVEL - References this file to determine if the activity is summary level or posting. ACTRANS - Used to access transaction detail. MXCATDEF - This file is used by a common routine that is used by this program. MXELEMENT - This file is used by a common routine that is used by this program. MXLISTDTL - References this file to validate list parameters. MXOBJCAT - This file is used by a common routine that is used by this program. WFSETUP - |