GL44.1 - Report Currency Entry Use GL44.1 (Report Currency Entry) to define and override report currency amounts. You can also use this form to create a journal entry that only includes report currency amounts. To do this, you must identify an amount for report currency one, report currency two, or both; and exclude transaction, base, and account amounts and rates. Only journal entries that contain report currency amounts display. If the transaction line includes a transaction amount, that line does not display. After you make changes, use GL40.1 or GL40.4 (Additional Information) to display and maintain journal entries with transaction, base, and account amounts and rates. Choose the Asterisk (*) button to open GL40.4. Use this subform to display and maintain report currency transaction amounts, including exchange rates. Updated Files CKPOINT - Used for restart capability. CUCONTROL - This file is used to store transaction currency amounts. GLCOMMENT - This file is updated with journal entry comments. GLCONTROL - This file is updated with the last journal entry line number used. GLSYSTEM - This file updates company information. GLTRANS - This file is updated with transaction information. GTMXVALUE - This file is updated with deleted transaction attribute values when a journal entry is deleted. JBOOKHDR - This file is updated with a journal book used flag. MXOBJCAT - This file is update with attribute object information. RJBRIDGE - This file is updated with an interfaced recurring journal released status. RJCONTROL - This file is updated with a deleted record when an associated journal entry is deleted. RJSCHEDULE - This file is updated with a recurring period schedule released status. SYSTEMCODE - This file is updated with the last remote site transaction object identification. Referenced Files CUCONV - Used to access currency exchange rates. CURELAT - Used to access relationship records. GLADDRESS - Used to access general ledger company address information. GLCHART - Used to access general ledger chart of account records. GLINTCO - Used to validate intercompany relationships. GLNAMES - Used to validate the existence of an accounting unit. GLSRCCODE - Used to validate source codes. GLZONE - Used to validate zones. JBKOPCODE - Used to validate journal book/operator relationships. JBKSYSCODE - Used to validate journal book/system code relationship. MXVALIDATE - Used to validate transaction attribute values. WFSETUP - INVOKED Programs IFAC ACAC IFCR IFSG IFCU IFAU SLSE SLSU IFCC IFFC IFGT IFOB IFRS IFSC SLSB SLTV SLFD SLSS |