AR235 - Application Adjustment Report Run AR235 (Application Adjustment Report) to list application adjustments for a company or a customer group for a range of post dates. You can select activity, customer, reason code, reason type, process level, user-defined field, sales representative, credit analyst, or operator to further define the listing. Adjustments are grouped by reason code, sales representative, credit analyst, or operator depending on the report sequence you select. The report lists adjustments in transaction number order for each customer within the report sequence you select and includes customer, sequence option, totals for credit memo adjustments and totals for invoice and debit memo adjustments. An asterisk (*) prints in the "C" column to indicate an application payment company is different from the adjustment company. Note: If the report includes adjustments within a single currency, a report total will be printed. If the report includes adjustments for multiple currencies, a report total will not be printed. Updated Files ARUADJUST - Updates user analysis information. CKPOINT - Used for restart purposes. Referenced Files ARADJUST - Obtains adjustment information. ARAPPLIED - Obtains application information. ARCOMP - Accesses company information. ARCUSTGRP - Validates part of company information. ARCUSTOMER - Validates customer. AROIHDR - Accesses open item header information. AROITEMS - Accesses open item detail information. AROPTR - Validates operator. ARPAYMENT - Used to obtain payment data. ARPROCLEVL - Validates process level. ARREASON - Validates reason code. Access for reason code information. CRANALYST - Validates credit analyst. CUSTDESC - Used to obtain customer data. SALESREP - Validates sales representative. INVOKED Programs IFCC IFSG SLSR SLSU |