DT520 - Bill of Exchange Interface Run DT520 (Bill of Exchange Interface) to process files containing bill of exchange records that have been loaded from a source external to the Lawson Accounts Receivable system. The program edits each field and creates a report containing a list of all bill of exchange records that fail these edits; an error description identifying the type of error; and totals for the number of bill of exchange records processed, added, in error, and to be auto-applied by AR130 (Automatic Cash Application Audit). Updated Files ARAPPLIED - Stores and maintains application ecords. ARCOMP - Maintains AR company information. ARCUSTOMER - Maintains customer information. ARCUSTPER - Maintains customer period end totals. ARDFTSEL - Maintains records of obligations selected for bill of exchange payment. ARDISTRIB - Maintains AR distribution records. ARDRAFTS - maintains AR bill of exchange records. AROIHDR - maintains AR open item header records. AROITEMS - Maintains AR open item detail records. AROPIVOT - ARPAYMENT - Maintains AR batch payment detail records. ARPYMNTHDR - Maintains AR batc payment header records. ARSAPPLIED - Maintains cash application select records. CBBANKENT - Maintains bank records. CBBANKINST - Maintains transaction (payment) code records. CBCASHCODE - Maintains cash code records. CKPOINT - Used for checkpoint restart operations. CUSTDESC - Maintains customer address information. DTCREDIT - Updates bill of exchange credit information. DTIDRAFTS - Maintains AR bill of exchange interface records. JBOOKHDR - Maintains journal book header information. NATBALANCE - Maintains summary information for national account numbers. Referenced Files ARCODE - Used to validate AR codes. ARCUSTGRP - Used to validate customer group numbers. ARCUSTTOTS - Used to validate process level inclusion for invoicing. ARPROCLEVL - Used to validate process levels. CBUSER - Used to validate the Cash Ledger user. CBUSRCLASS - used to validate the Cash Ledger user class. CUCONV - Used to retrieve currency exchange rates. CURELAT - Used to validate currency relationships. DTCUSTBANK - Used to retrieve customer paying bank inforamtion. GLADDRESS - Used to retrieve company address information. GLCHART - Used to validate the chart of account. GLCODES - Used to validate the GL codes. GLSYSTEM - Used to validate General Ledger company information. JBKOPCODE - Used to validate journal book operator codes. JBKSYSCODE - Used to validate journal book system codes. NATACCT - Used to validate national accounts. INVOKED Programs IFCC IFCR IFSG |