CAHEADER FILE Allocation Header The Allocation Header file contains allocation control information used to process allocation detail records. REFERENCED BY CA110 CA215 CA240 CA199 CA00.1 CA00.2 CA200 UPDATED BY CA10.1 CA10.2 CA10.4 CA10.6 CA10.7 CA10.8 CA15.1 CA15.2 CA190 CA195 CA210 GL110 GL500 FIELD NAME DESCRIPTION/VALID VALUES UPDATED BY CAH-COMPANY Numeric 4 CA10.2 CA10.7 Company The company number allocations are GL110 defined for. CAH-ALLOC-NAME Alpha 12 CA10.2 CA10.7 Allocation The allocation name represents an allocation as defined in CA10.1 (Allocation). CAH-ALLOC-TYPE Alpha 1 CA10.2 CA10.7 Allocation Type The allocation type determines where funds are allocated to. The default is Actual. You can select Current Year budget or Next Year budget. A = Actual C = Current Year Budget N = Next Year Budget CAH-ALLOC-TYPE-1 Derived Allocation Type 1 This field, used for drill around, displays the Allocation Type field values. CAH-ALLOCATION-GRP Alpha 12 CA10.2 CA10.7 Allocation Group The allocation group where an allocation is stored. CAH-STEP Numeric 3 CA10.2 CA10.7 Step Value This field determines when an allocation detail line will get processed. All lower steps are processed before processing higher steps. 001 999 000 = Defined on Detail CAH-DESCRIPTION Alpha 30 (Lower Case) CA10.2 CA10.7 Allocation The description of the allocation. Description CAH-OPERATOR Alpha 10 CA10.2 CA10.7 Operator This field is used to store the login ID of the person who entered the record. CAH-AUTO-ZERO Alpha 1 CA10.2 CA10.7 Auto Zero Percent This field is used to determine if amounts are to be zeroed out after processing. N = No Y = Yes CAH-AUTO-ZERO-1 Derived Auto Zero Percent 1 This field, used for drill around, displays the Auto Zero field values. CAH-BEG-PERIOD Numeric 2 CA10.2 CA10.7 Beginning Period The beginning period you want to post transactions in. 01 = Period 1 02 = Period 2 03 = Period 3 04 = Period 4 05 = Period 5 06 = Period 6 07 = Period 7 08 = Period 8 09 = Period 9 10 = Period 10 11 = Period 11 12 = Period 12 13 = Period 13 CAH-BEG-YEAR Numeric 4 CA10.2 CA10.7 Beginning Year The beginning year you want to post transactions in. CAH-END-PERIOD Numeric 2 CA10.2 CA10.7 Ending Period The last period you want to post transactions in. 01 = Period 1 02 = Period 2 03 = Period 3 04 = Period 4 05 = Period 5 06 = Period 6 07 = Period 7 08 = Period 8 09 = Period 9 10 = Period 10 11 = Period 11 12 = Period 12 13 = Period 13 CAH-END-YEAR Numeric 4 CA10.2 CA10.7 Ending Year The last year you want to post transactions in. CAH-STATUS Numeric 1 CA10.1 CA10.2 Status This field indicates the transaction CA10.8 CA15.1 status: Released or Unreleased. CA15.2 CA190 1 = Released 0 = Unreleased CAH-POST-PERIOD Alpha 1 Occurs 13 Times CA10.2 CA10.7 Posting Period The periods you want the allocation to be processed in. CAH-DAY Numeric 2 CA10.2 CA10.7 Posting Day The day you want to post transactions. If you leave this field blank, the period end date defined for the company in GL10.1 (Company) defaults. CAH-LP-PERIOD Numeric 2 CA190 CA195 Last Processed This is the last-processed period for GL500 Period the allocation. CAH-LP-YEAR Numeric 4 CA190 CA195 Last Processed Year This is the last-processed year for the GL500 allocation. CAH-MAINT-DATE Numeric 8 (yyyymmdd) CA10.1 CA10.2 Last Changed This is the date the allocation was CA10.4 CA10.7 most recently changed. CA10.8 CA15.1 CA15.2 CAH-JE-NBR Numeric 8 CA10.2 CA10.7 Journal Entry Number The journal entry number assigned in GL40.1 (Journal Entry) assigned to the allocation. CAH-JE-TYPE Alpha 1 CA10.2 CA10.7 Journal Entry Type The type of journal entry associated with the allocation: Normal or Intercompany. CAH-JE-TYPE-1 Derived Journal Entry Type 1 This field, used for drill around, displays the Journal Entry Type field values. CAH-BKPST-JE-NBR Numeric 8 CA15.1 CA15.2 Backposted Journal This is the journal entry number to be CA190 Entry Nbr used for back-posting this allocation. CAH-BKPST-PERIOD Numeric 2 CA15.1 CA15.2 Backposted Period The period you want to back-post the CA190 allocation to. The period must be open for back-posting in the General Ledger system. CAH-BKPST-YEAR Numeric 4 CA15.1 CA15.2 Backposted Year The year you want to back-post the CA190 allocation to. CAH-SOURCE-CODE Alpha 2 CA10.2 CA10.7 Source Code A two character code assigned to a transaction to identify where the transaction was created. CAH-REFERENCE Alpha 10 (Lower Case) CA10.2 CA10.7 Reference Reference is a user-defined field used to track transactions. For example, type a purchase order number for audit purposes. CAH-BASE-ZONE Alpha 15 CA10.2 CA10.7 Base Zone The zone within the Lawson General Ledger System where the transaction originating. CAH-BUDGET-NBR Numeric 3 CA10.2 CA10.7 Budget If you select Current Year or Next Year Budget in the Type field, type or select the budget number you want to allocate from. The budget must exist in FB20.1 (Period Budget, Rate). CAH-CTRA-AU Alpha 15 CA10.2 CA10.7 Contra Accounting You can use a contra account to retain Unit the integrity of your original data. The accounting unit you type here will replace the data in the From Accounting Unit field when you run CA110 (Allocation Calculation). If you use a contra account, the amount will appear on the Journal Entry for audit purposes. For example: If you want to allocate 50 percent from account 41000's balance of $5000, you can use contra account 42000 to allocate $2500 while keeping the integrity of account 41000's original balance. CAH-CTRA-ACCOUNT Numeric 6 CA10.2 CA10.7 Contra Account You can use a contra account to retain the integrity of your original data. The account you type here will replace the data in the From Account field when you run CA110 (Allocation Calculation). If you use a contra account, the amount will appear on the Journal Entry for audit purposes. For example: If you want to allocate 50 percent from account 41000's balance of $5000, you can use contra account 42000 to allocate $25000 while keeping the integrity of account 41000's original balance. CAH-CTRA-SUB-ACCT Numeric 4 CA10.2 CA10.7 Contra Subaccount You can use a contra subaccount to retain the integrity of you original data. The subaccount you type here will replace the data in the From Subaccount field when you run CA110 (Allocation Calculation). If you use a contra account, the amount will appear on the Journal Entry for audit purposes. For example: If you want to allocate 50 percent from account 41000's balance of $5000, you can use contra account 42000 to allocate $2500 while keeping the integrity of account 41000's original balance. CAH-TOTAL-PCT Signed 7.4 CA10.1 CA10.4 Total Percentage This field displays the total CA10.7 CA10.8 percentage for all allocation detail CA190 CA195 lines. CAH-LAST-CMT-SEQ Numeric 4 CA10.6 CA10.7 Last Comment This is the sequence number of the last Sequence comment for the transaction. CAH-LAST-LINE-NBR Numeric 6 CA10.1 CA10.4 Last Line Used This is the number of the last line CA10.7 CA10.8 item added to the transaction. It is CA210 used to determine the number for the next line added to the transaction. CAH-NBR-LINES Numeric 6 CA10.1 CA10.4 Line Number This is the number of detail lines. CA10.7 CA10.8 CAH-NBR-CMT-LINES Numeric 6 CA10.6 Number of Comment This is the number of comment lines for Lines the transaction. CAH-AUTO-REV Alpha 1 CA10.2 CA10.7 Auto Reversal If you select Yes in this field, the Lawson General Ledger Closing program GL199 creates an opposite entry for this transaction in the next period. The default is No. CAH-AUTO-REV-1 Derived Auto Reversal 1 This field, used for drill around, displays the auto reversal sign. CAH-JRNL-BOOK-NBR Alpha 12 CA10.2 CA10.7 Journal Book Number The journal book assigned to the transaction. CAH-MX-VALUE-APPLY Alpha 1 CA10.2 Apply Value You can select the type of account the activity (from the Activity Management system) applies to. When you post, the program creates transactions in the Activity Management and General Ledger systems. B = Both F = From Accounts T = To Accounts CAH-MX-VALUE Alpha 20 Occurs 3 Times CA10.2 CA10.7 Value This is a transaction matrix value associated with the allocation transaction. You can assign a matrix value for each matrix category assigned to the source code. You can define up to three categories for each source code using GL05.1. CAH-ACTIVITY-APPLY Alpha 1 CA10.2 CA10.7 Apply Activity This field determines the transaction type applied to the activity. You can select Both Sides of the Allocation, Post To Accounts, and Post From Accounts. When you post, the system creates transaction in the Activity Management and General Ledger systems. T = Post To Accounts F = Post From Accounts B = Both Post To And From Accounts CAH-SEGMENT-APPLY Alpha 1 CA10.2 Apply User Analysis This field determines where the user analysis values are applied for an allocation. CAH-SEGMENT-BLOCK Alpha 103 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. CAHEADER FILE INDEX NAME KEY FIELDS DESCRIPTION / SUBSET CONDITION USED IN CAHSET1 COMPANY CA10.1 CA10.2 ALLOC-NAME CA10.4 CA10.5 ALLOC-TYPE CA10.6 CA10.7 CA10.8 CA110 CA15.1 CA190 CA195 CA210 CA215 CA240 GL110 GL500 CAHSET2 COMPANY KeyChange CA10.2 CA10.7 JE-NBR JE-TYPE ALLOC-NAME ALLOC-TYPE CAHSET3 COMPANY Subset CA10.2 CA10.7 BKPST-JE-NBR Where BKPST-JE-NBR != Zeroes CA15.1 CA15.2 JE-TYPE ALLOC-NAME ALLOC-TYPE CAHSET4 COMPANY CA10.1 CA10.2 ALLOC-TYPE CA10.4 CA10.7 ALLOC-NAME CA10.8 CA110 CA15.1 CA15.2 CA199 CAHSET5 COMPANY CA15.1 CA215 STEP ALLOC-NAME ALLOC-TYPE CAHSET6 ALLOCATION-GRPKeyChange CA00.1 CA00.2 ALLOC-TYPE CA110 CA15.2 COMPANY CA200 ALLOC-NAME CAHSET7 ALLOCATION-GRPKeyChange CA15.2 CA215 STEP COMPANY ALLOC-NAME ALLOC-TYPE CAHEADER FILE RELATIONS ONE TO ONE RELATIONS RELATION RELATED NAME FILE INTEGRITY RULES / FIELD MATCH Allocation Grp CAALLOCGRP Required CAH-ALLOCATION-GRP -> CAG-ALLOCATION-GRP Company GLSYSTEM Required CAH-COMPANY -> GLS-COMPANY Glmaster GLMASTER Not Required CAH-COMPANY -> GLM-COMPANY CAH-CTRA-AU -> GLM-ACCT-UNIT CAH-CTRA-ACCOUNT -> GLM-ACCOUNT CAH-CTRA-SUB-ACCT -> GLM-SUB-ACCOUNT Source Code GLCODES Not Required CAH-SOURCE-CODE -> GCD-SOURCE-CODE CAHEADER FILE RELATIONS ONE TO MANY RELATIONS RELATION RELATED NAME FILE INTEGRITY RULES / FIELD MATCH Alloc Detail CADETAIL Delete Restricted CAH-COMPANY -> CAD-COMPANY CAH-ALLOC-NAME -> CAD-ALLOC-NAME CAH-ALLOC-TYPE -> CAD-ALLOC-TYPE CAD-LINE-NBR Alloc.comment CACOMMENT Delete Cascades CAH-COMPANY -> CAC-COMPANY CAH-ALLOC-NAME -> CAC-ALLOC-NAME CAH-ALLOC-TYPE -> CAC-ALLOC-TYPE CAC-SEQ-NBR Fbheader FBHEADER CAH-COMPANY -> FBH-COMPANY CAH-BUDGET-NBR -> FBH-BUDGET-NBR FBH-FISCAL-YEAR |