AP197 - Vendor Balance Rebuild If you did not convert vendor balances as part of your vendor conversion in AP510 (Vendor Conversion) or build them as part of your invoice conversion in AP520 (Invoice Interface), or if the converted or built vendor balances are incorrect, run AP197 (Vendor Balance Rebuild) to rebuild vendor balances. AP197 uses the non-Lawson invoice data you converted in AP520 to rebuild vendor balances. Updated Files APVENBAL - Updates vendor balance records. CKPOINT - Used to store restart information. Referenced Files APCOMPANY - Validates company. APINVOICE - Retrieves invoice information. APPAYMENT - Retrieves payment information. APVENCLASS - Validates vendor class. APVENGROUP - Retrieves vendor group information. APVENMAST - Validates vendor. INVOKED Programs IFCC |