CB175 - Bank Transaction Posting Run CB175 (Bank Transaction Posting) to transfer cash ledger transactions to the general ledger. CB175 posts transaction entries and reconciliation adjustments through the Post Thru Date you define for the cash code specified and creates a listing of transactions to be posted. For Strategic Ledger users: If you selected "Yes" in the Suspend Strategic Ledger field in GL01.4 (System Codes) for the Cash Ledger system this program is affected by that decision. The information that is interfaced to the Strategic Ledger system is processed in the Strategic Ledger Interface (SLIFGTFILE) file to reduce processing time on the daily interface file (IFGT). This information is not automatically loaded into the Strategic Ledger system. You must run SL195 (Transaction Interface) to load information for use in the Strategic Ledger system. Updated Files CBBANKENT - Used to validate bank. CBCASHCODE - Used to validate cash code. CBCPYCASH - Used to validate company-cash code relationship. CBDISTRIB - Contains bank transactions to be posted to general ledger. Updates status of distribution records. CKPOINT - Used to store restart information. SYSTEMCODE - Validates the system code updating general ledger and updates the object id. Referenced Files CBTRANS - Creates cash ledger transaction records. CBUSER - Validates user can access cash code. CBUSRCLASS - Validates all 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. INVOKED Programs IFFC IFGT ACAC IFCR IFSG IFCU IFAC IFAU SLSE SLSU IFCC IFOB IFRS IFSC SLSB SLTV IFJR SLFD |