CB00.1 - Bank Use CB00.1 (Bank) to define bank locations where you have one or more bank accounts. Define a bank record for each bank you plan to use in the Lawson Accounts Payable, Accounts Receivable, and Cash Ledger systems. If you use the Lawson Accounts Receivable system and you perform bank risk processing, choose the Credit button to open the Credit Risk subform. Use the subform to define credit lines used to remit bills of exchange at a discount. After you define banks, use CB00.2 (Cash Code) to define the bank accounts you have at each bank. Updated Files CBBANKENT - Creates bank records. Referenced Files INSTCTRYCD - Validates the Intrastat country code. CB00.2 - Cash Code Use CB00.2 (Cash Code) to define cash codes for each bank you define in CB00.1 (Bank). A cash code represents a bank account at a financial institution. Each bank and bank account number combination must be unique. Define cash codes for each bank account you plan to use in the Lawson Accounts Payable and Accounts Receivable systems and to reconcile bank transactions in the Lawson Cash Ledger system. Use CB00.2 also to specify the bank reconciliation options to be used for this cash code. If you choose the reconciliation statement option, use the single statement flag to specify whether the system is to automatically update the statement number and opening balance for each new statement. If you do not select the single statement option, you can still create bank reconciliation statements, but you have to enter the statement number and opening balance manually for each new statement. To define optional security for a cash code, choose the Security button to open the Cash Code Security subform. Use the subform to assign a user class to a cash code. If assigned, only users assigned to the user class can display or maintain information for the cash code throughout the Lawson Cash Ledger system. Use CB04.1 (Cash Ledger User Class) to define user classes. After you define cash codes, use CB00.3 (Company-Cash Code Relationships) to define relationships between cash codes and general ledger companies. Updated Files CBBANKENT - Validates bank code and updates used flag. CBCASHCODE - Creates cash code records. CBCASHFORM - Deletes cash form records related to cash code. CBCPYCASH - Deletes company-cash code records related to cash code. Referenced Files CBUSER - CBUSRCLASS - CB00.3 - Company - Cash Code Relationships After you define cash codes in CB00.2 (Cash Code), use CB00.3 (Company-Cash Code Relationships) to define relationships between general ledger companies and cash codes. You must define a relationship between a company and a cash code for the company to be able to process transactions using a specific bank account. When you define a company-cash code relationship, you assign a general ledger cash account. You can also define optional reconciliation tolerances and select an optional variance account, reconciliation account, and bill of exchange processing accounts. Reconciliation tolerances define the difference that can exist between the reconciled amount and the issued amount of a transaction without needing approval. If a difference exists within the defined tolerances, the transaction will be reconciled without approval with the difference posted to the variance account selected. If a difference exists beyond the defined tolerances, you must approve the difference before the transaction will be reconciled. If you do not define reconciliation tolerances, the transaction amount must equal the issued amount. If you want to create a general ledger entry from the selected cash account to a reconciliation account when a transaction is reconciled, select Yes in the Reconcile Entry field and select a reconciliation account. If you select No, only reconciliation variance entries, if applicable, will be created upon reconciliation. If the company uses the bank account to process bill of exchange transactions, choose the BOE Accounts button to open the Bill of Exchange Payment Accounts subform. Use the subform to select general ledger accounts used for bill of exchange processing. If the company uses journal books to group general ledger transactions, choose the Journal Book button to open the Cash Code Journal Book subform. Use the subform to select default journal books for each transaction code. After you define company-cash code relationships, use CB00.4 (Bank Transaction Definition) to define the payment and bank service transactions you plan to use in the Lawson Accounts Payable, Accounts Receivable, and Cash Ledger systems. Updated Files CBBANKENT - Validates bank and updates used flag. CBBANKINST - Validates payment code and updates used flag. CBCASHCODE - Validates cash code and updates used flag. CBCPYCASH - Creates company-cash code relationship records. JBOOKHDR - Referenced or updated by general ledger common routines. Referenced Files CBCCTRNJB - Validates a journal book for a given cash code and payment code. CBUSER - Validates user can access cash code. CBUSRCLASS - Validates all valid users for cash code. GLADDRESS - Referenced by general ledger common routines. GLCHART - Referenced by general ledger common routines. GLSYSTEM - Referenced by general ledger common routines. JBKOPCODE - Referenced by general ledger common routines. JBKSYSCODE - Referenced by general ledger common routines. CB00.4 - Bank Transaction Definition Use CB00.4 (Bank Transaction Definition) to define transaction codes. A transaction code represents a type of payment, such as a check or bill of exchange, or a bank service, such as a deposit or service charge. Define transaction codes for each type of payment and bank service you plan to use in the Lawson Accounts Payable, Accounts Receivable, and Cash Ledger systems. To define transaction codes for the cash payment documents and payment tapes you use in the Lawson Accounts Payable system, choose the Cash Payment button to open the Cash Payments subform. The Output Option you select determines whether the cash payments are manually created (no output), printed documents, or tape records. To define transaction codes for the bill of exchange payment instruments you use in the Lawson Accounts Payable and Accounts Receivable systems, choose the BOE Payment button to open the BOE Payments subform. The Transaction Origin you select determines who creates the bills of exchange. The Output Option you select determines whether bill of exchange payments are manually created, printed documents, or tape records. To define transaction codes for the banking transactions that debit or credit your bank accounts, choose the Bank Service button to open the Bank Services subform. You use bank service transaction codes in the Lawson Accounts Receivable and Cash Ledger systems. After you define transaction codes, use CB00.5 (Cash Payment Formats) to define the format of each cash payment transaction code and CB01.2 (Bill of Exchange Formats) to define the format of each bill of exchange payment transaction code you define. Updated Files CBBANKINST - Creates bank transaction code records. Referenced Files None. CB00.5 - Cash Payment Formats Use CB00.5 (Cash Payment Formats) to define the format of cash payments you create in the Lawson Accounts Payable system. A cash payment format represents a printed payment form or type of payment tape. Define a cash payment format for each cash code (which represents a bank account) that will use the cash payment transaction codes (which represent types of payments) you defined in AP00.4 (Bank Transaction Definition). If defining a payment format for an ACH, BACS, or ETEBAC tape, select a bank service transaction code used to create a bank transaction adjustment when the bank rejects a payment tape record. The code you select defaults when you mark a payment tape record as rejected in CB80.1 (Bank Transaction Adjustment). Updated Files CBBANKENT - Validates bank and updates used flag. CBBANKINST - Validates bank transaction code and updates used flag. CBCASHCODE - Validates cash code and updates used flag. CBCASHFORM - Creates cash payment format records. Referenced Files CBUSER - Validates user can access cash code. CBUSRCLASS - Validates all valid users for cash code. LANGPREF - Validates language codes. CB00.7 - Cash Payments Use the Cash Payments subform to define transaction codes for the cash payment documents and payment tapes you use in the Lawson Accounts Payable system. The Output Option you select determines whether the cash payments are manually created (no output), printed documents created in AP155 (Payment Forms Creation) or AP157 (Laser Payment Forms), tape records created in AP160 (Payment Tape Creation), or an electronic file created in AP161 (Electronic Payment Creation). Updated Files CBBANKINST - Creates payment code records. Referenced Files None. INVOKED Programs IFCC IFAC ACAC IFCR IFSG IFCU IFAU SLSE SLSU |