Lawson Software

Lawson Insight Technical Documentation

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                             CBCPYCASH FILE

                     Company-Cash Code Relationship

The Company-Cash Code Relationship file contains relationship records between
a general ledger company and a cash code (bank account).

REFERENCED BY

CB195

UPDATED BY

AP00.4    AP00.5    AP01.1    AP150     AP151     AP156
AP170     AP180     AP181     AP190     AP200     AP255
AP265     AP28.1    AP28.2    AP30.3    AP520     AP55.1
AP55.2    AP56.1    AP56.2    AP80.1    AP81.1    AP90.5
API1.1    API2.1    AR01.1    AR02.1    AR115     AR124
AR14.1    AR20.1    AR21.1    AR21.2    AR21.3    AR24.1
AR28.2    AR28.5    AR29.2    AR30.1    AR30.2    AR30.4
AR48.2    AR570     AR575     AR580     AR700     AR82.1
CB00.2    CB00.3    CB06.1    CB06.2    CB10.1    CB15.1
CB15.2    CB175     CB180     CB185     CB190     CB191
CB20.1    CB30.1    CB500     CB80.1    DT160     DT161
DT170     DT180     DT181     DT185     DT270     DT60.1
DT60.2    DT70.1    DT70.3    DT80.1    DT80.4    DT90.3
DT92.1    EE20.1    EE20.2    EE20.4    EE520

FIELD NAME           DESCRIPTION/VALID VALUES                    UPDATED BY

CBY-COMPANY          Numeric 4                                   CB00.3
Company              The company number. Must be a valid
                     record in the General Ledger Company
                     file.

CBY-CASH-CODE        Alpha 4                                     CB00.3
Cash Code            The cash code. Represents a bank
                     account. Must be a valid record in the
                     Cash Code file.

CBY-CSH-COMPANY      Numeric 4                                   CB00.3
Cash Company         The general ledger company a cash
                     transaction will be made against. THIS
                     FIELD IS NOT USED AT THIS TIME.

CBY-CSH-ACCT-UNIT    Alpha 15                                    CB00.3
GL Cash Accounting   The general ledger cash accounting unit
Unit                 for the company-cash code relationship.
                     Must be a valid record in the General
                     Ledger Names file.

CBY-CSH-ACCOUNT      Numeric 6                                   CB00.3
GL Cash Account      The general ledger cash account number
Number               for the company-cash code relationship.
                     Must be a valid record in the General
                     Ledger Account Master file.

CBY-CSH-SUB-ACCT     Numeric 4                                   CB00.3
GL Cash Subaccount   The general ledger cash subaccount
Number               number for the company-cash code
                     relationship. Must be a valid record in
                     the General Ledger Account Master file.

CBY-CLR-ACCT-UNIT    Alpha 15                                    CB00.3
Transfer Clearing    The general ledger bank transfer
Acct Unit            clearing accounting unit used for bank
                     fund transfers to or from the
                     company-cash code relationship. Must be
                     a valid record in the General Ledger
                     Names file.

CBY-CLR-ACCOUNT      Numeric 6                                   CB00.3
Transfer Clearing    The general ledger bank transfer
Account Nbr          clearing account number used for bank
                     fund transfers to or from the
                     company-cash code relationship. Must be
                     a valid record in the General Ledger
                     Account Master file.

CBY-CLR-SUB-ACCT     Numeric 4                                   CB00.3
Transfer Clearing    The general ledger bank transfer
Subacct Nbr          clearing subaccount number used for bank
                     fund transfers to or from the
                     company-cash code relationship. Must be
                     a valid record in the General Ledger
                     Account Master file.

CBY-REC-OVER-TOL     Signed 15.2                                 CB00.3
Over Reconcile       Indicates by what amount, if any, the
Tolerance            reconciled amount can exceed the issued
                     amount of a transaction.

                     If defined and the reconciled amount
                     exceeds the issued amount within the
                     defined tolerance, the difference is
                     posted to the GL Variance Account
                     selected for the company-cash code
                     relationship. If the difference exceeds
                     the defined tolerance, the
                     reconciliation must be approved in
                     CB30.1 (Reconciliation Variance
                     Adjustment). If left blank, zero
                     defaults, which means the reconciled
                     amount must equal the issued amount.

CBY-REC-UNDER-TOL    Signed 15.2                                 CB00.3
Under Reconcile      Indicates by what amount, if any, the
Tolerance            reconciled amount can be less than the
                     issued amount of a transaction.

                     If defined and the reconciled amount is
                     less than the issued amount within the
                     defined tolerance, the difference is
                     posted to the GL Variance Account
                     selected for the company-cash code
                     relationship. If the difference exceeds
                     the defined tolerance, the
                     reconciliation must be approved in
                     CB30.1 (Reconciliation Variance
                     Adjustment). If left blank, zero
                     defaults, which means the reconciled
                     amount must equal the issued amount.

CBY-VAR-COMPANY      Numeric 4                                   CB00.3
Cost Variance        The general ledger company a
Company              reconciliation variance transaction will
                     be made against. THIS FIELD IS NOT USED
                     AT THIS TIME.

CBY-VAR-ACCT-UNIT    Alpha 15                                    CB00.3
GL Variance          The general ledger variance accounting
Accounting Unit      unit for the company-cash code
                     relationship. Must be a valid record in
                     the General Ledger Names file.

CBY-VAR-ACCOUNT      Numeric 6                                   CB00.3
GL Variance Account  The general ledger variance account
Number               number for the company-cash code
                     relationship. Must be a valid record in
                     the General Ledger Account Master file.

CBY-VAR-SUB-ACCT     Numeric 4                                   CB00.3
GL Variance          The general ledger variance subaccount
Subaccount Number    number for the company-cash code
                     relationship. Must be a valid record in
                     the General Ledger Account Master file.

CBY-REC-GL-ENTRY     Alpha 1                                     CB00.3
GL Reconcile Entry   Indicates whether a general ledger
                     entry is created from the GL Cash
                     Account to a GL Reconcile Account when
                     the company reconciles a transaction for
                     the cash code. If this field = Yes, a
                     general ledger entry is created from the
                     GL Cash Account to the GL Reconcile
                     Account. The difference between the
                     reconciled amount and the issued amount,
                     within the defined tolerances, posts to
                     the GL Variance Account. Valid values
                     are:

                     N = No.
                     Y = Yes.

CBY-REC-COMPANY      Numeric 4                                   CB00.3
Reconcile Company    The general ledger company a reconciled
                     transaction will be made against. THIS
                     FIELD IS NOT USED AT THIS TIME.

CBY-REC-ACCT-UNIT    Alpha 15                                    CB00.3
GL Reconcile         If the GL Reconcile Entry field = Yes,
Accounting Unit      this field contains the general ledger
                     reconcile accounting unit for the
                     company-cash code relationship. Must be
                     a valid record in the General Ledger
                     Names file.

CBY-REC-ACCOUNT      Numeric 6                                   CB00.3
GL Reconcile         If the GL Reconcile Entry field = Yes,
Account Number       this field contains the general ledger
                     reconcile account number for the
                     company-cash code relationship. Must be
                     a valid record in the General Ledger
                     Account Master file.

CBY-REC-SUB-ACCT     Numeric 4                                   CB00.3
GL Reconcile         If the GL Reconcile Entry field = Yes,
Subaccount Number    this field contains the general ledger
                     reconcile subaccount number for the
                     company-cash code relationship. Must be
                     a valid record in the General Ledger
                     Account Master file.

CBY-ENCS-ACCT-UNIT   Alpha 15                                    CB00.3
Encashed Remittance  The general ledger encashed remittance
Acct Unit            accounting unit used for bill of
                     exchange processing. Required if company
                     uses the cash code to process bills of
                     exchange. Must be a valid record in the
                     General Ledger Names file.

CBY-ENCS-ACCOUNT     Numeric 6                                   CB00.3
Encashed Remittance  The general ledger encashed remittance
Account              account number used for bill of exchange
                     processing. Required if company uses the
                     cash code to process bills of exchange.
                     Must be a valid record in the General
                     Ledger Account Master file.

CBY-ENCS-SUB-ACCT    Numeric 4                                   CB00.3
Encashed Remittance  The general ledger encashed remittance
Subaccount           subaccount number used for bill of
                     exchange processing. Required if company
                     uses the cash code to process bills of
                     exchange. Must be a valid record in the
                     General Ledger Account Master file.

CBY-DISC-ACCT-UNIT   Alpha 15                                    CB00.3
Discounted Remit     The general ledger discounted
Acct Unit            remittance accounting unit used for bill
                     of exchange processing. Required if
                     company uses the cash code to process
                     bills of exchange. Must be a valid
                     record in the General Ledger Names file.

CBY-DISC-ACCOUNT     Numeric 6                                   CB00.3
Discounted           The general ledger discounted
Remittance Account   remittance account number used for bill
                     of exchange processing. Required if
                     company uses the cash code to process
                     bills of exchange. Must be a valid
                     record in the General Ledger Account
                     Master file.

CBY-DISC-SUB-ACCT    Numeric 4                                   CB00.3
Discounted           The general ledger discounted
Remittance Subacct   remittance subaccount number used for
                     bill of exchange processing. Required if
                     company uses the cash code to process
                     bills of exchange. Must be a valid
                     record in the General Ledger Account
                     Master file.

CBY-RISK-ACCT-UNIT   Alpha 15                                    CB00.3
Bank Risk            The general ledger bank risk accounting
Accounting Unit      unit used for discounted bill of
                     exchange risk processing. Required if
                     company uses the cash code to process
                     bills of exchange. Must be a valid
                     record in the General Ledger Names file.

CBY-RISK-ACCOUNT     Numeric 6                                   CB00.3
Bank Risk Account    The general ledger bank risk account
Number               number used for discounted bill of
                     exchange risk processing. Required if
                     company uses the cash code to process
                     bills of exchange. Must be a valid
                     record in the General Ledger Account
                     Master file.

CBY-RISK-SUB-ACCT    Numeric 4                                   CB00.3
Bank Risk            The general ledger bank risk subaccount
Subaccount Number    number used for discounted bill of
                     exchange risk processing. Required if
                     company uses the cash code to process
                     bills of exchange. Must be a valid
                     record in the General Ledger Account
                     Master file.

CBY-BEXP-ACCT-UNIT   Alpha 15                                    CB00.3
Bank Expense         The general ledger bank expense
Accounting Unit      accounting unit used for bill of
                     exchange cashing expenses. Required if
                     company uses the cash code to process
                     bills of exchange. Must be a valid
                     record in the General Ledger Names file.

CBY-BEXP-ACCOUNT     Numeric 6                                   CB00.3
Bank Expense         The general ledger bank expense account
Account Number       number used for bill of exchange cashing
                     expenses. Required if company uses the
                     cash code to process bills of exchange.
                     Must be a valid record in the General
                     Ledger Account Master file.

CBY-BEXP-SUB-ACCT    Numeric 4                                   CB00.3
Bank Expense         The general ledger bank expense
Subaccount Number    subaccount number used for bill of
                     exchange cashing expenses. Required if
                     company uses the cash code to process
                     bills of exchange. Must be a valid
                     record in the General Ledger Account
                     Master file.

CBY-FIN-ACCT-UNIT    Alpha 15                                    CB00.3
Financial Expense    The general ledger financial expense
Acct Unit            accounting unit used for financial
                     expenses associated with bill of
                     exchange processing. Required if company
                     uses the cash code to process bills of
                     exchange. Must be a valid record in the
                     General Ledger Names file. THIS FIELD IS
                     NOT CURRENTLY USED.

CBY-FIN-ACCOUNT      Numeric 6                                   CB00.3
Financial Expense    The general ledger financial expense
Account              account number used for financial
                     expenses associated with bill of
                     exchange processing. Required if company
                     uses the cash code to process bills of
                     exchange. Must be a valid record in the
                     General Ledger Account Master file. THIS
                     FIELD IS NOT CURRENTLY USED.

CBY-FIN-SUB-ACCT     Numeric 4                                   CB00.3
Financial Expense    The general ledger financial expense
Subaccount           subaccount number used for financial
                     expenses associated with bill of
                     exchange processing. Required if company
                     uses the cash code to process bills of
                     exchange. Must be a valid record in the
                     General Ledger Account Master file. THIS
                     FIELD IS NOT CURRENTLY USED.

CBY-ADMN-ACCT-UNIT   Alpha 15                                    CB00.3
Admin Expense        The general ledger administration
Accounting Unit      expense accounting unit used for
                     administration expenses associated with
                     bill of exchange processing. Required if
                     company uses the cash code to process
                     bills of exchange. Must be a valid
                     record in the General Ledger Names file.

CBY-ADMN-ACCOUNT     Numeric 6                                   CB00.3
Admin Expense        The general ledger administration
Account Number       expense account number used for
                     administration expenses associated with
                     bill of exchange processing. Required if
                     company uses the cash code to process
                     bills of exchange. Must be a valid
                     record in the General Ledger Account
                     Master file.

CBY-ADMN-SUB-ACCT    Numeric 4                                   CB00.3
Admin Expense        The general ledger administration
Subaccount           expense subaccount number used for
                     administration expenses associated with
                     bill of exchange processing. Required if
                     company uses the cash code to process
                     bills of exchange. Must be a valid
                     record in the General Ledger Account
                     Master file.

CBY-USED-FLAG        Alpha 1                                     AP00.4  AP00.5
Used                 Indicates whether the company-cash code     AP01.1  AP150
                     relationship has been used. Valid values    AP151   AP156
                     are:                                        AP170   AP180
                                                                 AP181   AP190
                     N = No.                                     AP200   AP255
                     Y = Yes.                                    AP265   AP28.1
                                                                 AP28.2  AP30.3
                                                                 AP520   AP55.1
                                                                 AP55.2  AP56.1
                                                                 AP56.2  AP80.1
                                                                 AP81.1  AP90.5
                                                                 API1.1  API2.1
                                                                 AR01.1  AR02.1
                                                                 AR115   AR124
                                                                 AR14.1  AR20.1
                                                                 AR21.1  AR21.2
                                                                 AR21.3  AR24.1
                                                                 AR28.2  AR28.5
                                                                 AR29.2  AR30.1
                                                                 AR30.2  AR30.4
                                                                 AR48.2  AR570
                                                                 AR575   AR580
                                                                 AR700   AR82.1
                                                                 CB00.3  CB06.1
                                                                 CB06.2  CB10.1
                                                                 CB15.1  CB15.2
                                                                 CB175   CB180
                                                                 CB185   CB190
                                                                 CB191   CB20.1
                                                                 ...

CBY-SEL-BANK-NAME    Derived
Bank Name            The name of the bank associated with
                     the cash code.

CBY-SEL-BANK-ACCT    Derived
Bank Account Number  The bank account number defined for the
                     cash code.

CBY-RECON-JRNL-BK    Alpha 12                                    CB00.3
Reconciliation       The reconciliation journal book
Journal Book         associated with the cash code.

CBY-DEP-INST-CODE    Alpha 3                                     CB00.3
Dep Inst Code

CBY-CHK-INST-CODE    Alpha 3                                     CB00.3
Chk Inst Code

CBY-BANK-INST-CODE   Alpha 3                                     CB00.3
Transaction Code     A transaction code represents a type of
                     cash payment, bill of exchange payment,
                     or bank service transaction.

CBY-RECN-INST-CODE   Alpha 3                                     CB00.3
Recn Inst Code

                         CBCPYCASH FILE INDEX

NAME      KEY FIELDS    DESCRIPTION / SUBSET CONDITION           USED IN

CBYSET1   COMPANY       This is the primary index used to        AP00.4  AP00.5
          CASH-CODE     access and keep company-cash code        AP01.1  AP150
                        relationship records unique.             AP151   AP156
                                                                 AP170   AP180
                                                                 AP181   AP190
                                                                 AP200   AP255
                                                                 AP265   AP28.1
                                                                 AP28.2  AP30.3
                                                                 AP520   AP55.1
                                                                 AP55.2  AP56.1
                                                                 AP56.2  AP80.1
                                                                 AP81.1  AP90.5
                                                                 API1.1  API2.1
                                                                 AR01.1  AR02.1
                                                                 AR115   AR124
                                                                 ...

CBYSET2   CASH-CODE     This index is used to access companies   CB00.2
          COMPANY       that have relationship records with a
                        specific cash code.

                         CBCPYCASH FILE RELATIONS

ONE TO ONE RELATIONS


RELATION       RELATED
 NAME           FILE        INTEGRITY RULES / FIELD MATCH

Cbbankent      CBBANKENT    Required

                            CBC-BANK-ENTITY    -> CBE-BANK-ENTITY

Cbcashcode     CBCASHCODE   Required

                            CBY-CASH-CODE      -> CBC-CASH-CODE

Glsystem       GLSYSTEM     Required

                            CBY-COMPANY        -> GLS-COMPANY

Glsystem Cash  GLSYSTEM     Required

                            CBY-CSH-COMPANY    -> GLS-COMPANY

Glsystem Recon GLSYSTEM     Required

                            CBY-REC-COMPANY    -> GLS-COMPANY

Glsystem Var   GLSYSTEM     Required

                            CBY-VAR-COMPANY    -> GLS-COMPANY