CADETAIL FILE Allocation Detail The Allocation Detail file contains the allocation detail information defined that is used to allocate amounts from a company accounting structure to another company accounting structure. REFERENCED BY CA15.1 CA15.2 CA215 CA240 RW298 CA110 UPDATED BY CA10.1 CA10.2 CA10.4 CA10.7 CA10.8 CA190 CA195 CA210 GL110 GL950 FIELD NAME DESCRIPTION/VALID VALUES UPDATED BY CAD-COMPANY Numeric 4 CA10.1 CA10.4 Company The company number allocation detail is CA10.8 CA210 defined for. GL110 GL950 RW298 CAD-ALLOC-NAME Alpha 12 CA10.1 CA10.4 Allocation Name The allocation name represents an CA10.7 CA10.8 allocation as defined in CA10.1 CA210 GL950 (Allocation). RW298 CAD-ALLOC-TYPE Alpha 1 CA10.1 CA10.4 Allocation Type This field defines where the allocation CA10.7 CA10.8 will take place. CA210 GL950 RW298 A = Actual C = Current Year Budget N = Next Year Budget CAD-ALLOC-TYPE-1 Derived Allocation Type 1 This field, used for drill around, displays the Allocation Type field values. CAD-LINE-NBR Numeric 6 CA10.1 CA10.4 Line Number This field contains the allocation CA10.8 CA15.1 detail line number. CA15.2 CA210 GL950 RW298 CAD-ALLOCATION-GRP Alpha 12 CA10.1 CA10.2 Allocation Group The allocation group where an CA10.4 CA10.7 allocation is stored. CA10.8 CAD-STEP Numeric 3 CA10.1 CA10.2 Step This field determines when an CA10.4 CA10.7 allocation detail line will get CA10.8 CA210 processed. All lower steps are GL950 processed before processing higher steps. CAD-TRANS-TYPE Alpha 1 CA10.1 CA10.7 Transaction Type The allocation type for each line. The CA10.8 CA210 default is Amount. GL950 To allocate units, the Post From and Post To accounts must allow units. You can verify this in GL20.1 (Chart of Accounts). A = Amounts U = Units CAD-TRANS-TYPE-1 Derived Transaction Type 1 This field, used for drill around, displays the Transaction Type field values. CAD-ALLOC-PERCENT Signed 7.4 CA10.1 CA10.8 Line Percent The amount to be allocated. CA190 CA195 CA210 GL950 The percentage you define multiplied by the From Company account balance = the amount allocated. If you leave this field blank, 100 percent defaults. CAD-AUTO-REV Alpha 1 CA10.1 CA10.7 Auto Reversal If you select Yes in this field, GL 199 CA10.8 CA210 (Period Closing) creates an opposite GL950 entry for this transaction in the next period. The default is No. Y = Yes N = No CAD-AUTO-REV-1 Derived Auto Reversal 1 This field, used for drill around, displays the auto reversal sign. CAD-ACTIVITY Alpha 15 CA10.1 CA10.7 Activity The activity associated with the CA10.8 CA210 allocation. GL950 Activities are the processes or procedures that produce work. Cost objects (products, services, customers, and so on) are the reasons for performing the activity. Activities and cost object activities are used synonymously in the Lawson Activity Management system. Direct costs are posted to activities, and indirect costs are allocated to activities based on activity drivers. Activities are grouped or organized by activity levels. There are two types of activities: "posting allowed" and "summary only." Use posting level activities to budget and maintain all posted transactions. Summary activities or macro activities combine information and balances from lower level activities for reporting and inquiries. CAD-ACCT-CATEGORY Alpha 5 CA10.1 CA10.7 Account Category The account category associated with CA10.8 the allocation. You can associate an account category with the allocation. Account categories store grouped activity transactions for budgeting and reporting. Account categories let you sort and combine incoming amounts into groups for reporting and inquiry on activities. You can tie account categories to general ledger accounts using AC07.1 (Account Assignment). You can also streamline your maintenance of changes to general ledger accounts; use AC04.1 (GL Code) to define GL codes to represent general ledger accounts. CAD-PT-COMPANY Numeric 4 CA10.1 CA10.8 Posting-To Company The company number amounts are CA210 GL950 allocated to. If you select a post-to company and accounting unit, leave the Allocation Code field blank. CAD-PT-ACCT-UNIT Alpha 15 CA10.1 CA10.8 Posting-To The accounting unit amounts are CA210 GL950 Accounting Unit allocated to. If you select a post-to company and accounting unit, leave the Allocation Code field blank. CAD-PT-ALLOC-CODE Alpha 12 CA10.1 CA10.8 Posting-To The allocation code used to allocate to CA110 CA210 Allocation Code multiple accounting units. GL950 You cannot use an allocation code with a compute statement. CAD-PT-ACCOUNT Numeric 6 CA10.1 CA10.8 Posting-To Account The account number amounts are CA210 GL950 allocated to. If you select an override account range and an error occurs when you run CA110 (Allocation Calculation), this account defaults. If this account is invalid, the system uses the company error suspense account. CAD-PT-SUB-ACCT Numeric 4 CA10.1 CA10.8 Posting-To The subaccount number amounts are CA210 GL950 Subaccount allocated to. If you select an override subaccount range and an error occurs when you run CA110 (Allocation Calculation), this subaccount defaults. If this subaccount is invalid, the system uses the company error suspense account. CAD-PT-DETAIL-OPT Alpha 1 CA10.1 CA10.8 Posting-To Detail The allocation amount that is created CA210 GL950 Option when you post. The default is Consolidate. Select one of the following Post To options: Consolidate creates one transaction line for each variable in the From Accounting Unit and Account fields. Level Detail creates as many transaction lines as there are unique variable levels in the override information. The transaction contains the From Account and From Subaccount fields. Account Detail creates as many transaction lines as there are unique accounts and subaccounts in the override information. Full Detail creates as many transaction lines as there are unique accounting unit, account, and subaccount combinations in the override information. C = Consolidate L = Level Detail A = Acct Detail D = Full Detail CAD-PT-DET-OPT-1 Derived Posting-To Detail This field, used for drill around, Option 1 displays the Posting-To Detail Option field values. CAD-PF-ACCT-UNIT Alpha 15 CA10.1 CA10.8 Posting-From The accounting unit amounts are CA210 GL950 Accounting Unit allocated from. If you select override accounting unit information, the program overrides this field when determining the allocated amount. CAD-PF-ACCOUNT Numeric 6 CA10.1 CA10.8 Posting-From Account The account number amounts are CA210 GL950 allocated from. If you select override account information, the program overrides this field when determining the allocated amount. CAD-PF-SUB-ACCT Numeric 4 CA10.1 CA10.8 Posting-From The subaccount number amounts are CA210 GL950 Subaccount allocated from. If you select override subaccounts or a subaccount group, the program overrides this subaccount when determining the allocated amount. CAD-PF-DETAIL-OPT Alpha 1 CA10.1 CA10.8 Posting-From Detail The allocation amount that is created CA210 GL950 Option when you post. The default is Consolidate. Select one of the following Post From options: Consolidate creates one transaction line for each variable level in the From Accounting Unit and Account fields. Level Detail creates as many transaction lines as there are unique variable levels for the From Accounting Unit override fields. Account Detail creates as many transaction lines as there are unique accounts and subaccounts in the override information. Full Detail creates as many transaction lines as there are unique accounting unit, account, and subaccount combinations in the override information. C = Consolidate L = Level Detail A = Acct Detail D = Full Detail CAD-PF-DET-OPT-1 Derived Posting-From Detail This field, used for drill around, Option 1 displays the Posting-From Detail Option field values. CAD-COMPUTE-NAME Alpha 12 CA10.1 CA10.8 Compute Name The compute statement used to determine CA210 GL950 the percent allocated. You cannot select a compute statement if you selected an allocation code. CAD-ACCT-UNIT Alpha 15 Occurs 3 Times CA10.1 CA10.8 Accounting Unit The accounting unit is a shorthand CA210 GL950 notation representing a location (variable level) in the company structure. CAD-FR-ACCOUNT Numeric 6 CA10.1 CA10.8 From Account You can override accounts in a specific CA210 GL950 account range. Type or select the beginning account in this field. If you select an account range, leave the Account Group field blank. CAD-TH-ACCOUNT Numeric 6 CA10.1 CA10.8 Through Account You can override accounts for a CA210 GL950 specific account range in the From Account field. Type or select the ending value in this field. If you leave this field blank, the from value defaults. CAD-FR-SUB-ACCT Numeric 4 CA10.1 CA10.8 From Subaccount You can type or select an override CA210 GL950 subaccount range that will replace the From Subaccount field. Type or select the beginning value in this field. You cannot select a subaccount range and a subaccount group. CAD-TH-SUB-ACCT Numeric 4 CA10.1 CA10.8 Through Subaccount You can type or select an override CA210 GL950 subaccount range that will replace the From Subaccount field. Type or select the ending value in this field. If you leave this field blank, the beginning value defaults. You cannot select a subaccount range and a subaccount group. CAD-LEVEL-GROUP Alpha 12 CA10.1 CA10.8 Level Group You can type or select an override CA210 GL950 level group that will replace the From Accounting Unit. CAD-ACCOUNT-GROUP Alpha 12 CA10.1 CA10.8 Account Group You can type or select an override CA210 GL950 account group that will replace the amount in the From Account field. CAD-SUB-ACCT-GRP Alpha 12 CA10.1 CA10.8 Subaccount Group You can type or select an override CA210 GL950 subaccount group that will replace the amount in the From Subaccount field. You cannot select a subaccount group and an override subaccount range. CAD-JE-DESC Alpha 30 CA10.1 CA10.7 Journal Entry You can type a journal entry CA10.8 CA210 Description description that identifies what journal GL950 entry number the allocation will post to. CAD-MATRIX-LIST Alpha 12 CA10.1 CA10.8 Accounting Unit List You can type or select an override CA210 GL950 accounting unit list that will replace the From Accounting Unit field. Use this when you want to temporarily replace a company and accounting unit in CA10.1 for a specific period or calculation. CAD-CHART-NAME Alpha 12 CA10.1 CA10.8 Chart Name You can type or select the chart of CA210 GL950 accounts. If you select a chart of accounts, select a summary account. CAD-SUMRY-ACCT-ID Numeric 6 CA10.1 CA10.8 Summary Account ID This is the identifier for the summary CA210 GL950 account. CAD-SEGMENT-BLOCK Alpha 103 CA10.1 CA10.8 User Analysis This field identifies the user analysis values included in the transaction. You can either type up to four values or use Define (F6) to open the User Analysis Entry subform. Use this subform to select the user analysis values you want to include in the transaction. If you choose to type values, use commas to separate them. For example: value1,value2,value3,value4 There are three conditions that affect how you can select user analysis values. See the User Analysis Entry form help or the Strategic Ledger procedures manual for additional information. CADETAIL FILE INDEX NAME KEY FIELDS DESCRIPTION / SUBSET CONDITION USED IN CADSET1 COMPANY CA10.1 CA10.2 ALLOC-NAME CA10.4 CA10.5 ALLOC-TYPE CA10.7 CA10.8 LINE-NBR CA15.1 CA15.2 CA190 CA195 CA210 CA215 CA240 GL110 RW298 CADSET2 COMPANY KeyChange CA110 ALLOC-TYPE STEP ALLOC-NAME LINE-NBR CADSET3 COMPANY CA110 ALLOC-TYPE ALLOC-NAME STEP LINE-NBR CADSET4 ALLOCATION-GRPKeyChange CA110 COMPANY ALLOC-TYPE STEP ALLOC-NAME LINE-NBR CADSET5 ALLOCATION-GRPKeyChange COMPANY ALLOC-TYPE ALLOC-NAME STEP LINE-NBR CADETAIL FILE RELATIONS ONE TO ONE RELATIONS RELATION RELATED NAME FILE INTEGRITY RULES / FIELD MATCH All Cod Hdr ACHEADER Not Required CAD-PT-ALLOC-CODE -> ALH-ALLOC-CODE (ALHSET1) Allocation CAHEADER Required CAD-COMPANY -> CAH-COMPANY CAD-ALLOC-NAME -> CAH-ALLOC-NAME CAD-ALLOC-TYPE -> CAH-ALLOC-TYPE Company GLSYSTEM Required CAD-COMPANY -> GLS-COMPANY Compute CMPUTE Not Required CAD-COMPUTE-NAME -> CMP-COMPUTE-NAME From Chart Dtl GLCHARTDTL Not Required GLS-CHART-NAME -> GDT-CHART-NAME CAD-PF-ACCOUNT -> GDT-ACCOUNT CAD-PF-SUB-ACCT -> GDT-SUB-ACCOUNT Glchart GLCHART Not Required CAD-CHART-NAME -> GCH-CHART-NAME Glchartsum GLCHARTSUM Not Required CAD-CHART-NAME -> GCS-CHART-NAME CAD-SUMRY-ACCT-ID -> GCS-SUMRY-ACCT-ID Mxlisthdr MXLISTHDR Not Required "ACCTU" -> MLH-OBJ-TYPE CAD-MATRIX-LIST -> MLH-MATRIX-LIST Post Fr Au GLNAMES Required CAD-COMPANY -> GLN-COMPANY CAD-PF-ACCT-UNIT -> GLN-ACCT-UNIT Post To Au GLNAMES Not Required CAD-PT-COMPANY -> GLN-COMPANY CAD-PT-ACCT-UNIT -> GLN-ACCT-UNIT Post To Comp GLSYSTEM Not Required CAD-PT-COMPANY -> GLS-COMPANY Pst To Company GLSYSTEM Not Required CAD-PT-COMPANY -> GLS-COMPANY To Chart Dtl GLCHARTDTL Not Required GLS-CHART-NAME -> GDT-CHART-NAME CAD-PT-ACCOUNT -> GDT-ACCOUNT CAD-PT-SUB-ACCT -> GDT-SUB-ACCOUNT CADETAIL FILE RELATIONS ONE TO MANY RELATIONS RELATION RELATED NAME FILE INTEGRITY RULES / FIELD MATCH Acct Grp Det RWGRPDET "A" -> RGD-RECORD-TYPE CAD-ACCOUNT-GROUP -> RGD-HEAD-NAME RGD-RANGE-NUMBER All Cod Det ACDETAIL CAD-PT-ALLOC-CODE -> ALD-ALLOC-CODE ALD-COMPANY ALD-ACCT-UNIT Lvl Grp Det RWGRPDET "L" -> RGD-RECORD-TYPE CAD-LEVEL-GROUP -> RGD-HEAD-NAME RGD-RANGE-NUMBER Sub Grp Det RWGRPDET "S" -> RGD-RECORD-TYPE CAD-SUB-ACCT-GRP -> RGD-HEAD-NAME RGD-RANGE-NUMBER |