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| Routines in this Library: |  
 |  
| 2000-TXTAC-EDIT-TRAN |  
| 2100-TXTAC-DEFAULTING |  
| 2280-TXTAC-EDIT-DELETE |  
| 2300-TXTAC-EDIT-DATA |  
| 2400-TXTAC-GL-ACCTS |  
| 3000-TXTAC-UPDATE-TRAN |  
| 3100-TXTAC-ADD |  
| 3200-TXTAC-CHANGE |  
| 3300-TXTAC-DELETE |  
| 3900-TXTAC-MOVE-DATA |  
 |  
| Forms calling this Library: |  
 |  
| WH34 | Component Feedback |  
| WH33 | Detail Feedback |  
| WH130 | Pick List Print |  
| TX804 | Tax Transaction Conversion |  
| TX04 | Tax Transaction |  
| TX02 | Tax Code Maintenance |  
| PR197 | Payroll Close |  
| POIT | Invoke PO Total Method |  
| POIJ | Invoke for POPLIUPD |  
| POIF | MMDIST Activity Commit |  
| POI7 | POI7 Print Object |  
| POED | PO Edits |  
| PO220 | PO Status Report |  
| PO132 | Print Vendor RMA |  
| MA65 | Match Detail Maintenance |  
| MA208 | Add On Cost Master Listing |  
| MA08 | Add On Cost Code |  
| IC83 | Par Location Counts |  
| IC812 | Item Location Load |  
| IC811 | Item Master Load |  
| IC330 | Item Mass Change |  
| IC142 | Replenishment by Requisition P |  
| IC141 | Location Replenishment Report |  
| IC12 | Item Location |  
| IC11 | Item Master |  
| IC10 | Formats |  
| IC02 | Location |  
| EE520 | Expense Interface |  
| EE20 | Employee Expense Report Entry |  
| EE05 | Employee Expense Codes |  
| DT181 | Bank Presentation Cashing Upda |  
| DT180 | Bank Presentation, Cashing Upd |  
| DR100 | Distribution Requirements Repo |  
| CXCP | Copy preference to case |  
| CB500 | Bank Transaction Interface |  
| CB30 | Reconciliation Adjustment |  
| CB20 | Bank Transaction Entry |  
| CB191 | Bank Statement Close |  
| CB10 | Cash Receipt Deposit |  
| CB03 | Cash Receipt Category |  
| BRIP | Invoice Print Program |  
| BR420 | Billing Invoice Report |  
| BR121 | Invoice Print and Interface |  
| BR120 | Billing Calculation |  
| BR11 | Customer |  
| BR00 | Activity Billing |  
| BL802 | Ship-to Load |  
| BL123 | Sub-System Update |  
| BL09 | Add On Charge |  
| BL02 | Ship To |  
| BL01 | Process Level Parameters |  
| AR580 | Payment2 Interface |  
| AR575 | Payment Interface |  
| AR570 | Lock Box Interface |  
| AR560 | Transaction Interface |  
| AR550 | Customer Interface |  
| AR43 | Invoice Batch Inquiry Release |  
| AR42 | Transaction Entry |  
| AR30 | Cash Entry and Application |  
| AR29 | Cash Transfer |  
| AR24 | Cash Batch Inquiry Release |  
| AR21 | Cash |  
| AR20 | Batch Entry |  
| AR190 | Application Closing |  
| AR15 | Operational Code |  
| AR124 | Cash Batch Release Report |  
| AR115 | EFT Payment Creation |  
| AR08 | Customer Defaults |  
| API5 | Invoke for APIBAL70PD Object |  
| API4 | Invoke for APVO80PD Object |  
| API3 | Invoke for APVL80PD Object |  
| API2 | Invoke for APCBINVPD Object |  
| API1 | Invoke for APRI70PD Object |  
| AP520 | Invoice Interface |  
| AP510 | Vendor Conversion |  
| AP32 | Workflow Adjustments |  
| AP30 | Released Invoice Adjustments |  
| AP190 | Invoice Reinstatement |  
| AP181 | Bill of Exchange Stmt Update |  
| AP180 | Bill of Exchange Cashing Upd |  
| AP170 | Payment Closing |  
| AP110 | Mass Vendor Update |  
| AP10 | Vendor Maintenance |  
| AP00 | Vendor Group-Company Set Up |  
 
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