AR28.1 - Unassigned Cash Use AR28.1 (Unassigned Cash) to display unassigned cash entered in any of the AR21 cash entry forms or interfaced from AR570 (Lock Box Interface) or AR580 (Payment Interface) and assign the payment to a customer. To assign an unassigned payment to a customer, type the customer number and, optionally, the MICR (Magnetic Ink Character Recognition) number assigned to the payment. If you assign both a customer number and a MICR number to a payment, the system automatically creates a MICR customer cross reference in AR13.1 (MICR Customer) and assigns all unassigned payments associated with that MICR number to the customer. Updated Files ARCUSTOMER - Validates customer, updates last payment amount, and last payment date when necessary. ARCUSTPER - Updates customer period totals upon assignment of a payment. ARDISTRIB - ARMICRCUST - Primary file updated by program and checks for duplicate MICR Bank/Account Numbers. ARPAYMENT - Primary file updated by program. CUSTDESC - Obtains customer description information; updates customer description and balance. NATBALANCE - Updates national account balance. Referenced Files ARCOMP - Validates company. ARCUSTGRP - Validates customer group. ARPYMNTHDR - Obtains payment header information. GLADDRESS - Validates part of the company information. GLCHART - Used as part of general ledger account validation. GLSYSTEM - Validates part of the company information. NATACCT - Obtains national account information. AR28.2 - Unapplied Cash Use AR28.2 (Unapplied Cash) to display unapplied and partially applied customer payments. Choose the Write-Off ("W") button to access the Write-Off subform. Use the subform to write off a payment. Updated Files CBCPYCASH - Validates company/cash code relationship. Sets the used flag to Yes. Referenced Files ARCOMP - Validates company. ARPAYMENT - Obtains payment for inquiry. CBCASHCODE - Validates the cash code. AR28.3 - Payment Use AR28.3 (Payment) to display all payments. Choose the More button to access a subform to display additional information for a payment. Note: Payments with a cancellation date display an asterisk (*) in the "C" column. Updated Files None. Referenced Files ARCOMP - Validates company. ARPAYMENT - Obtains payment detail information. ARPYMNTHDR - Obtains payment header information. AR28.4 - Cash Expanded Use the Cash Expanded subform to display detailed information for a specific customer payment. Updated Files None. Referenced Files ARCOMP - Obtains company. ARPAYMENT - Obtains payment detail information for display. ARPREPAY - Obtains prepayment information for display. ARPYMNTHDR - Obtains payment header information for display. CUSTDESC - Obtains customer description information for display. AR28.5 - Non AR Cash Use AR28.5 (Non AR Cash) to display non-accounts receivable payments. Choose the More button to display additional information for a specific non-accounts receivable payment. Updated Files CBCPYCASH - Validates the company/cash code relationship. Sets the used flag to Yes. Referenced Files ARCOMP - Validates company. ARPAYMENT - Obtains non-AR payment and verify if non-AR payments exist. CBCASHCODE - Validates the cash code. AR28.6 - Non AR Cash Expanded Use the Non AR Cash Expanded subform to display detailed information for a specific non-accounts receivable payment. Updated Files None. Referenced Files ARCOMP - Validates company. ARDISTRIB - Obtains distribution information for non-AR payments. ARPAYMENT - Obtains Non-AR payment detail information. AR28.7 - Customer Cash Use AR28.7 (Customer Cash) to display payments for an individual customer. To define selection criteria to limit the payments that display choose the Filter button to access the Selection Criteria subform. You can select a payment for transfer to another form to display additional information. Updated Files None. Referenced Files ARCOMP - Validates company. ARCUSTGRP - Validates customer group. ARCUSTOMER - Access for customer information. ARPAYMENT - Access for payment information. ARPYMNTHDR - Access for payment header information. CUSTDESC - Access for customer name. AR28.8 - Selection Criteria Use the Selection Criteria subform to define criteria used to select a customer's payments for display. Updated Files None. Referenced Files ARCOMP - Validates company. ARLOCKBOX - Selects lock box. ARPROCLEVL - Selects on process level. AR28.9 - Selection Criteria Use the Selection Criteria subform to define criteria used to select payments for display. Updated Files CBCASHCODE - Used as part of cash code validation. Referenced Files ARLOCKBOX - Used to validate lock box file. CBUSER - Used as part of cash ledger validation. CBUSRCLASS - Used as part of cash ledger validation. INVOKED Programs IFSG IFCC |