AR570 - Lock Box Interface
AR570 (Lock Box Interface) lets you add payments to the Lawson Accounts
Receivable system from a file created by an external source. The file must be
formatted in a standard BAI (Bank Administration Institute) format. The
program edits the external data to protect the integrity of the Accounts
Receivable data. The program creates a report in payment number order that
includes each field that failed an edit, the field data, a description of the
error, and totals for the number of records processed, payments added, and
total errors.
The currency of the cash code associated with the lock lox is the currency of
all payments associated with the lock box. The amount of each payment is
assumed to be in the transaction currency of the payment. The original,
transaction amount is preserved, and the payment amount is converted to the
company base currency.
Updated Files
ACCOMMIT -
ACCOMMITX -
ARAPPLIED - Updates application records as part of common release logic.
(AR570 does not update application records)
ARCOMP - Updates last automatic batch number.
ARCUSTOMER - Updates last payment information. Updates balance.
ARCUSTPER - Updates customer period total for the payments entered.
ARDISTRIB - Creates summary batch distribution records for cash and
received not applied.
ARILOCKBOX - Deletes interface lock box records after like records are
created.
ARPAYMENT - Creates payment records.
ARPROCLEVL - Process level used flag updated.
ARPYMNTHDR - Payment header records created.
ARREMIT - Payment remittance records created.
ARSUMMARY - Updates summary records for payment amount entered.
ARUDISTRIB -
ARUPMNTHDR -
CBBANKENT - Validates bank. Sets the used flag to Yes.
CBBANKINST - Validates the payment code. Sets the used flag to Yes.
CBCASHCODE - Validates the cash code. Sets the used flag to Yes.
CBCPYCASH - Validates the cash code for the company. Sets the used flag to
Yes.
CBDISTRIB - Generates cash ledger distributions for the payments entered.
CBTRANS - Generates cash ledger transaction records for the payments
entered.
CKPOINT - Use in program re-start logic.
CUSTDESC - Updates customer description balance.
FRISALES -
NATBALANCE - National account balance updated.
TXCODEMAST - Validates tax code flag.
TXCOMPANY - Validates tax code company.
TXTAXCODE - Validates tax codes.
TXTAXTABLE - Validates tax table transaction records.
TXTAXTRAN - Creates tax transaction records for distribution taxable
distribution lines.
Referenced Files
ACACCTCAT -
ACACTGRP -
ACACTIVITY -
APACCRCODE - Used as part of vendor validation.
APCOMPANY - Used as part of vendor validation.
APVENGROUP - Used as part of vendor validation.
ARCODE - Obtains received not applied AR code.
ARCUSTGRP - Validates part of company information.
ARLOCKBOX - Obtains default cash code and process level information.
ARMICRCUST - Accesses MICR/customer cross reference relationships.
AROIHDR - Accessed in an API called by AR570.
AROITEMS - Use as part of common release logic.
ARSADJUST - Temporary cash application adjustment record created.
ARSAPPLIED - Temporary cash application record created.
CBADJUST - Used in cash ledger processing.
CBBALANCE - Used in cash ledger processing.
CBSTATEMNT -
CBSTMTDTL -
CBUSER - Determines user access to cash ledger.
CBUSRCLASS - Determines user access to cash ledger.
CUCONV - Obtains currency conversion rates.
CURELAT - Verifies currency relationships.
CUSTORDER -
GLADDRESS - Validates part of company information.
GLCHART - Used as part of general ledger account validation.
GLCODES - Validates deposit (general ledger) date within valid date
range.
GLSYSTEM - Validates part of company information.
NATACCT - Accesses national account relationships for national account
balance updating.
OECOMPANY -
SYSTEMCODE -
TXTAXRATE - Validates tax rate.
WFSETUP -
INVOKED Programs
ACCL
API4
ACAC
IFCU
IFSG
IFAC
IFAU
SLSE
SLSU
IFOB
IFRS
IFSC
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