CB80.1 - Bank Transaction Adjustment Use CB80.1 (Bank Transaction Adjustment) to reconcile, void, stop payment, or reopen a bank transaction. If you are reconciling a transaction and the reconciled amount is different from the transaction amount, choose the Rec button to open the Reconciliation Amount subform. Use the subform to enter the reconciliation amount of the transaction. To mark a payment tape record as rejected by the bank, choose the Rej button to open the Tape Payment Rejection subform. If you void or stop a payment that originated in the Lawson Accounts Payable system, run AP190 (Invoice Reinstatement) to reinstate the invoice(s) associated with the voided or stopped payment. You can reopen a reconciled bank transaction as long as you have not run CB190 (Bank Statement Period Close) to update the transaction. If the cash code requires bank reconciliation statements and you transferred to this form from CB06.2 (Bank Statement Detail Entry), you can accept the default data derived from CB06.2 with a Change action. You can also make reconciliation adjustments as described above, but you cannot change the transaction amount on any form other than CB06.2. Updated Files ACCOMMIT - Creates an activity management commitment record. ACCOMMITX - Creates an activity management commitment record. CBADJUST - Creates adjustment record if reconciled transaction is not within tolerance. CBBANKENT - Used to validate bank. CBBANKINST - Used to validate bank transaction code. CBCASHCODE - Used to validate cash code. CBCPYCASH - Used to validate company-cash code relationship. CBDISTRIB - Creates distribution records. CBTRANS - Updates reconciliation information and status of the record. Referenced Files ACACCTCAT - Referenced in activity management common routines. ACACTGRP - Referenced in activity management common routines. ACACTIVITY - Referenced in activity management common routines. ACCAL - Referenced in activity management common routines. ACCALX - Referenced in activity management common routines. CBBALANCE - Referenced by bank transaction common routine. CBCHECK - Validates that an individual tape payment record has not been rejected. CBSTATEMNT - Used to maintain bank statement records. CBSTMTDTL - Used to maintain bank statement transaction details. 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. GLCODES - Referenced by general ledger common routines. GLSYSTEM - Referenced by general ledger common routines. SYSTEMCODE - Validates the system code updating general ledger and updates the object ID. INVOKED Programs IFCR IFSG IFCU IFOB IFRS |