DT92.1 - Dishonor Resolution Use DT92.1 (Dishonored Resolution) to resolve bills of exchange marked as dishonored in DT90.1 (Dishonor Bill of Exchange). You can resolve dishonored bill of exchange when you receive a cash payment, write off the bill of exchange, or renegotiate a new open item debit memo. Choose the Reneg button to access the Renegotiate Dishonor subform to enter cash payment information or new open item debit memo information. Choose the WOff button to access the Write Off Dishonor subform to write off the dishonored bill of exchange. Updated Files ARAPPLIED - Creates an applied record if a bill of exchange is created from a debit memo on bill of exchange renegotiation. ARCOMP - Automatic generation of debit memo and bill of exchange number at company level. ARCUSTOMER - Updates current balance and bill of exchange balance. ARCUSTPER - Updates paid period totals by the amount received on renegotiation. ARDISTRIB - Distributions created on renegotiation for accounts receivable/bill of exchange posting. ARDRAFTS - Updates status of bill of exchange and/or creates new bill of exchange. AROIHDR - Creates a debit memo header on renegotiation of bill of exchange. AROITEMS - Creates obligations (debit memo) on renegotiation. AROPIVOT - ARPAYMENT - Updates detail payment records. ARPYMNTHDR - Updates batch header payment information. ARSUMMARY - Updates record is by the amount received on renegotiation. CBBANKENT - Updates the used flag of bank. CBBANKINST - Updates used flag of payment code. CBCASHCODE - Updates used flag of cash code. CBCPYCASH - Updates used flag of company cash code. CBDISTRIB - Distribution created on receipt of cash for posting to cash code. CBTRANS - Creates a record for the amount of cash received. CUSTDESC - Updates file in API called by program. Current balance and bill of exchange balance is updated. JBOOKHDR - Used in journal book processing. NATBALANCE - Updates current balance and bill of exchange balance at national account level. TERMS - Validates terms code. Referenced Files ARCODE - Validates accounts receivable code. ARCUSTGRP - Validates customer group relationship. ARCUSTTOTS - Validates process level exclusion. ARPROCLEVL - Validates process level. CBADJUST - Validation to check if cash ledger adjustments exist. CBBALANCE - Validates transaction date with bank period ending date. CBSTATEMNT - Used to store bank statement header information. CBSTMTDTL - Validates bank statement transaction information. CBUSER - Validation to determine access to cash code. CBUSRCLASS - Validation to determine access to cash code. CUCONV - Used to determine if exchange rate exists between bill of exchange currency and company base currency. CURELAT - Used to check if currency relationship exists between bill of exchange currency and company base currency. DTCREDIT - Validates bill of exchange credit information. DTCUSTBANK - Validates customer bank and bank account. GLADDRESS - Validate general ledger company address. GLCHART - Validate chart name of company. GLCODES - Validate general ledger code. GLSYSTEM - Used to determine if general ledger company is set up. JBKOPCODE - Used in journal book processing. JBKSYSCODE - Used in journal book processing. NATACCT - Validates national account relationship. INVOKED Programs IFAC ACAC IFCR IFSG IFCU IFAU SLSE SLSU IFCC IFSC |