|
AP20.1 - Basic Invoice
**Form Purpose
Use Basic Invoice (AP20.1) to enter and maintain unreleased invoices, debit
memos, credit memos, and one-time vendor invoices that do not contain tax
distributions. Many fields on this form default values assigned to the vendor
or location at a company level, the vendor or location at a vendor group
level, or the company, pay group, vendor class, or vendor group unless you
override them on this form and on associated subforms.
Use the bottom of the AP20.1 form area to enter optional distribution
information for the invoice. This information includes: distribution company,
accounting unit, account, subaccount, distribution amount, activity, and
account category.
Note You can enter as many distribution lines as needed, but only five
display at one time. Use the Page Up and Page Down keys to scroll through the
display.
Use AP20.1 to enter and match invoices. You can attempt to match invoices by
adding them, then attempting to match or by adding and matching in a single
step.
To process an invoice using the two-step method, add an invoice with the
appropriate matching detail information, using the Add form action. Then
process the match with a form action of Match as a separate step.
You can also add and attempt the match in one step using a form action of
Match.
Updated Files
ACCOMMIT -
ACCOMMITX -
AMCONTROL -
AMINTER -
AMLOCATION -
AMRPRINTER -
AMTAXAUTH -
APACCRCODE - Edits the invoice accrual code.
APASTDTL -
APAUTHOR - Edits the authority code.
APBATCH - Updates the control total fields for the invoice batch number.
These fields are: number of invoices, total invoice amount, and
vendor hash. A valid batch must exist to add a valid invoice.
APCOMPANY - Updates the last voucher number used if auto voucher numbering
is used for the company.
APDISCCODE -
APDISTRIB - Detail file maintained by program. This file adds, changes, or
deletes distribution records.
APDRAFTS - Creates a bill of exchange record.
APDSUSRFLD -
APHLDINV -
APHOLDCODE - Edits the hold code.
APINCCODE - Edits the income code.
APINUSRFLD -
APINVOICE - Header file maintained by program. This program adds,
changes, or deletes invoice records.
APMONITOR - The monitor file is verified with this file, but no updates to
this file occur in this program.
APPAYMENT - Adds, changes, or deletes payment records.
APUAVAL -
CBBANKINST - Validates payment code and updates used flag.
CBCASHCODE - Validates cash code and updates used flag.
CBCHECK - Deletes a payment record if a prepayment is deleted. If the
prepayment is made with a manual reserved payment, the payment
is not actually deleted but returned to an available status.
CBCPYCASH - Validates company-cash code relationship and updates used flag.
COCOMP -
COLINE -
COSGBLK -
CXCOMPANY -
CXCPIUAVAL -
CXITEMHIST -
CXPREFITEM -
GLCOMMIT -
GLCOMMITX -
GLMASTER - Edits general ledger accounts.
HCPATCHRG -
HCPATVISIT -
ICCOMPANY -
ICHISTORY -
ICLOCATION -
ICLOT -
ICRECEIPTS -
ICTRANS -
ICTRANSDTL -
INSTDETAIL -
INSTHEADER -
INSTNBR -
ITEMLOC -
ITSERIAL -
JBKSEQNBR -
JBOOKHDR -
MAAOIHIST -
MAINVDTL -
MAINVMSG -
MAMADHIST -
MAPOINV -
MAPOOLCNT -
MMDIST -
MMUAVAL -
POAGMTPART -
POAGMTPRIC -
POAOCDTL -
POAOCMAST -
POAOCSPRD -
POAUDIT -
POCODE -
POCOMPANY -
POHDROUT -
POHDRPVT -
POINTAOC -
POINTERFAC -
POLINE -
POLINEOUT -
POLINEPVT -
POLINESRC -
POMESSAGE -
POPCRUF -
POPLIUF -
POPSPHIST -
PORECEIVE -
PORECLINE -
PORETURNHD -
PORETURNLN -
POREVISION -
POTRACK -
POTRANSDTL -
POVAGRMTHD -
POVAGRMTLN -
POVENDOR -
PURCHORDER -
RECAOCDTL -
RJBRIDGE -
RJCONTROL -
RJSCHEDULE -
ROUTEDOC -
ROUTEHDR -
ROUTESTOP -
RQTRANS -
SOHDETAIL -
TERMS - Validates a terms code.
TXCODEMAST -
TXCOMPANY -
TXTAXCODE - Edits a tax code.
TXTAXTABLE - Edits a table tax code if used for the header tax code. Table
tax codes are not allowed as distribution tax codes.
TXTAXTRAN -
WHDEMAND -
WHDEMNDHDR -
Referenced Files
ACACCTCAT -
ACACTGRP -
ACACTIVITY -
AMASSET -
AMTEMPLATE -
APAPIHIST -
APAPPROVAL -
APAUTHBUY -
APCOMMENTS - Deletes invoice comment records if an invoice is deleted.
APCPYVND -
APDISTCODE - Edits the distribution code.
APDISTHDR -
APDRFTCDES - Accessed by bill of exchange common routine.
APEXPINV -
APPAYGROUP -
APPROCLEV - Edits the process level.
APUDISTCD -
APUSRFLDEF -
APVENADDR -
APVENCLASS - Edits the vendor class.
APVENGROUP - Updates the last vendor number used if auto vendor numbering
is used for this vendor group.
APVENLOC - Edits the alternate vendor locations (remit-to and
purchase-from codes).
APVENMAST - Edits the vendor number.
APWTHCODE -
ARCOMP -
ARCUSTOMER -
BUYCLASS -
BUYCMPLOC -
BUYER -
BUYVENPF -
CBCASHFORM -
CBCCTRNJB -
CBDRFTFORM -
CBUSER - Validates user can access cash code.
CBUSRCLASS - Validates all users for cash code.
COMPONENT -
CUACCT -
CUCODES - Edits the currency code.
CUCONV - Edits the currency exchange rate for the invoice date.
CURELAT - Verifies relationships between the invoice currency, company
base currency, and bank account currency. A maximum of two
different currency codes can be used among these three
currencies.
CUSTDESC -
CUSTORDER -
CXBURDEN -
CXCASEPREF -
CXPTMPITEM -
EEADVANCE - Assures no duplication of invoice number with an advance
number.
EEEXPENSE - Assures no duplication of invoice number with expense number.
FBDETAIL -
FBFUNDDTL -
FBHEADER -
FOBCODE -
GLACCTVLD -
GLADDRESS - Displays the company address.
GLAMOUNTS -
GLCHART - Used in general ledger common routine.
GLCHARTDTL - Used in general ledger common routine.
GLCHARTSUM -
GLCODES - Edits dates against subledger control in the Lawson General
Ledger system.
GLINTCO - Verifies general ledger intercompany relationships for
distributions that will be sent to a different company than the
invoice company.
GLNAMES - Edits general ledger accounting units.
GLSRCCODE -
GLSYSTEM - Not referenced by this program.
GLTRANS -
GLZONE -
HCCHRGITEM -
ICBIN -
ICCATEGORY -
ICCOUT -
ICFACILITY -
ICMFGCODE -
ICMFGDIST -
ICVALUOM -
INSTATPROC -
INSTCMDTY -
INSTCTRYCD -
INSTNOTC -
INSTPORTS -
INSTREGN -
ITEMGROUP -
ITEMMAST -
JBKACCT -
JBKOPCODE -
JBKSYSCODE -
KITITEM -
MACOMPANY -
MAELMGPREL -
MAELMVALUE -
MAINVHAND -
MAMATCHTBL -
MAMSGTOL -
MAMTCHELEM -
MAMTCHRULE -
MAREASONCD -
MATCHCLASS -
MFGSHPFAC -
MLCOLEDGER -
MXLISTMBR -
NATACCT -
NATBALANCE -
OECOMPANY -
OECUST -
OEFRTCODE -
OEROUTE -
ORDERTYPE -
POAUDRULES -
POAUDTYPE -
PODOCREF -
POITEMVEN -
PORECADJHD -
PORECADJLN -
POVENDLOC -
PROCLEV -
PROCTEMPLN -
PROCUREGRP -
REASON -
REQHEADER -
REQLINE -
REQUESTER -
RQLOC -
STATICCUST -
STCOMMCODE -
SYSTEMCODE -
TXTAXRATE - Retrieves the tax code's rate for the invoice date.
TXUSAGECD -
WFSETUP -
WHPROCTYPE -
WHSHLAUD -
AP20.2 - Taxed Invoice
**Form Purpose
Use Taxed Invoice (AP20.2) to enter and maintain unreleased invoices, debit
memos, credit memos, and one-time vendor invoices that contain tax
distributions. Many fields on this form default values assigned to the vendor
or location at a company level, the vendor or location at a vendor group
level, or the company, pay group, vendor class, or vendor group unless you
override them on this form and on associated subforms.
Use the bottom of the AP20.2 form area to enter optional distribution
information for the invoice. This information includes: distribution company,
accounting unit, account, subaccount, distribution amount, activity, and
account category.
Note You can enter as many distribution lines as needed, but only five
display at one time. Use the Page Up and Page Down keys to scroll through the
display.
To automatically calculate tax amounts and create tax distribution lines,
assign a tax code to the invoice. Otherwise, type tax amounts and tax
distributions lines.
If you enter the invoice amount, tax amount and tax code, where invoice
amount equals tax amount, the system knows it is a tax only invoice. The
system will calculate the taxable amount if the Taxable Amount Edit field on
TX00.1 is set to Yes.
Use AP20.2 to enter and match invoices. You can attempt to match invoices by
adding them, then attempting to match or by adding and matching in a single
step.
To process an invoice using the two-step method, add an invoice with the
appropriate matching detail information, using the Add form action. Then
process the match with a form action of Match as a separate step.
You can also add and attempt the match in one step using a form action of
Match.
Updated Files
ACCOMMIT -
ACCOMMITX -
AMCONTROL -
AMINTER -
AMLOCATION -
AMRPRINTER -
AMTAXAUTH -
APACCRCODE - Validates and updates invoice accrual code used flag.
APASTDTL -
APAUTHOR - Validates and updates authority code used flag.
APBATCH - Updates batch control totals.
APCOMPANY - Validates company and updates last voucher number.
APDISCCODE -
APDISTRIB - Creates and updates invoice distributions.
APDRAFTS - Creates a bill of exchange record.
APDSUSRFLD -
APHLDINV -
APHOLDCODE - Validates and updates hold code used flag.
APINCCODE - Validates and updates income code used flag.
APINUSRFLD -
APINVOICE - Creates and updates invoice records.
APMONITOR - Validates and updates monitor file records.
APPAYMENT - Creates and updates split invoice payment records.
APUAVAL -
CBBANKINST - Validates payment code and updates used flag.
CBCASHCODE - Validates cash code and updates used flag.
CBCHECK - Creates and updates payment records.
CBCPYCASH - Validates company-cash code relationship and updates used flag.
COCOMP -
COLINE -
COSGBLK -
CXCOMPANY -
CXCPIUAVAL -
CXITEMHIST -
CXPREFITEM -
GLCOMMIT -
GLCOMMITX -
GLMASTER - Validates general ledger account.
HCPATCHRG -
HCPATVISIT -
ICCOMPANY -
ICHISTORY -
ICLOCATION -
ICLOT -
ICRECEIPTS -
ICTRANS -
ICTRANSDTL -
INSTDETAIL -
INSTHEADER -
INSTNBR -
ITEMLOC -
ITSERIAL -
JBKSEQNBR -
JBOOKHDR -
MAAOIHIST -
MAINVDTL -
MAINVMSG -
MAMADHIST -
MAPOINV -
MAPOOLCNT -
MMDIST -
MMUAVAL -
POAGMTPART -
POAGMTPRIC -
POAOCDTL -
POAOCMAST -
POAOCSPRD -
POAUDIT -
POCODE -
POCOMPANY -
POHDROUT -
POHDRPVT -
POINTAOC -
POINTERFAC -
POLINE -
POLINEOUT -
POLINEPVT -
POLINESRC -
POMESSAGE -
POPCRUF -
POPLIUF -
POPSPHIST -
PORECEIVE -
PORECLINE -
PORETURNHD -
PORETURNLN -
POREVISION -
POTRACK -
POTRANSDTL -
POVAGRMTHD -
POVAGRMTLN -
POVENDOR -
PURCHORDER -
RECAOCDTL -
RJBRIDGE -
RJCONTROL -
RJSCHEDULE -
ROUTEDOC -
ROUTEHDR -
ROUTESTOP -
RQTRANS -
SOHDETAIL -
TERMS - Validates terms code.
TXCODEMAST -
TXCOMPANY -
TXTAXCODE - Validates tax code record.
TXTAXTABLE - Validates tax table.
TXTAXTRAN -
WHDEMAND -
WHDEMNDHDR -
Referenced Files
ACACCTCAT -
ACACTGRP -
ACACTIVITY -
AMASSET -
AMTEMPLATE -
APAPIHIST -
APAPPROVAL -
APAUTHBUY -
APCOMMENTS - Deletes invoice comments with delete function.
APCPYVND -
APDISTCODE - Validates and defaults distribution code accounts.
APDISTHDR -
APDRFTCDES - Accessed by bill of exchange common routine.
APEXPINV -
APPAYGROUP -
APPROCLEV - Validates and defaults process level information.
APUDISTCD -
APUSRFLDEF -
APVENADDR -
APVENCLASS - Accesses for default information.
APVENGROUP - Updates last one-time vendor value.
APVENLOC - Validates and defaults information.
APVENMAST - Validates and defaults information.
APWTHCODE -
ARCOMP -
ARCUSTOMER -
BUYCLASS -
BUYCMPLOC -
BUYER -
BUYVENPF -
CBCASHFORM -
CBCCTRNJB -
CBDRFTFORM -
CBUSER - Validates user can access cash code.
CBUSRCLASS - Validates all users for cash code.
COMPONENT -
CUACCT -
CUCODES - Validates currency code.
CUCONV - Calculates base currency values.
CURELAT - Validates currency relationship.
CUSTDESC -
CUSTORDER -
CXBURDEN -
CXCASEPREF -
CXPTMPITEM -
EEADVANCE - Assures no duplication of invoice number with advance number.
EEEXPENSE - Assures no duplication of invoice number with expense number.
FBDETAIL -
FBFUNDDTL -
FBHEADER -
FOBCODE -
GLACCTVLD -
GLADDRESS - Accessed by general ledger common routine.
GLAMOUNTS -
GLCHART - Used in general ledger common routine.
GLCHARTDTL - Used in general ledger common routine.
GLCHARTSUM -
GLCODES - Validates post date availability.
GLINTCO - Edits intercompany relationship.
GLNAMES - Validates general ledger accounting unit.
GLSRCCODE -
GLSYSTEM - Validates general ledger company.
GLTRANS -
GLZONE -
HCCHRGITEM -
ICBIN -
ICCATEGORY -
ICCOUT -
ICFACILITY -
ICMFGCODE -
ICMFGDIST -
ICVALUOM -
INSTATPROC -
INSTCMDTY -
INSTCTRYCD -
INSTNOTC -
INSTPORTS -
INSTREGN -
ITEMGROUP -
ITEMMAST -
JBKACCT -
JBKOPCODE -
JBKSYSCODE -
KITITEM -
MACOMPANY -
MAELMGPREL -
MAELMVALUE -
MAINVHAND -
MAMATCHTBL -
MAMSGTOL -
MAMTCHELEM -
MAMTCHRULE -
MAREASONCD -
MATCHCLASS -
MFGSHPFAC -
MLCOLEDGER -
MXLISTMBR -
NATACCT -
NATBALANCE -
OECOMPANY -
OECUST -
OEFRTCODE -
OEROUTE -
ORDERTYPE -
POAUDRULES -
POAUDTYPE -
PODOCREF -
POITEMVEN -
PORECADJHD -
PORECADJLN -
POVENDLOC -
PROCLEV -
PROCTEMPLN -
PROCUREGRP -
REASON -
REQHEADER -
REQLINE -
REQUESTER -
RQLOC -
STATICCUST -
STCOMMCODE -
SYSTEMCODE -
TXTAXRATE - Validates effective tax rate.
TXUSAGECD -
WFSETUP -
WHPROCTYPE -
WHSHLAUD -
AP20.3 - Detail Invoice
**Form Purpose
Use Detail Invoice (AP20.3) to enter and match invoices. You can attempt to
match invoices by adding them, then attempting to match or by adding and
matching in a single step.
To process invoice using the two-step method, add an invoice with the
appropriate matching detail information, using the Add form action.
Then, process the match with a form action of Match as a separate step.
You can also add and attempt the match in one step using a form action of
Match.
Updated Files
ACCOMMIT -
ACCOMMITX -
AMCONTROL -
AMINTER -
AMLOCATION -
AMRPRINTER -
AMTAXAUTH -
APACCRCODE -
APASTDTL -
APAUTHOR -
APBATCH -
APCOMPANY -
APDISCCODE -
APDISTRIB -
APDRAFTS -
APDSUSRFLD -
APHLDINV -
APHOLDCODE -
APINCCODE -
APINUSRFLD -
APINVOICE -
APMONITOR -
APPAYMENT -
APUAVAL -
CBBANKINST -
CBCASHCODE -
CBCHECK -
CBCPYCASH -
COCOMP -
COLINE -
COSGBLK -
CXCOMPANY -
CXCPIUAVAL -
CXITEMHIST -
CXPREFITEM -
GLCOMMIT -
GLCOMMITX -
GLMASTER -
HCPATCHRG -
HCPATVISIT -
ICCOMPANY -
ICHISTORY -
ICLOCATION -
ICLOT -
ICRECEIPTS -
ICTRANS -
ICTRANSDTL -
INSTDETAIL -
INSTHEADER -
INSTNBR -
ITEMLOC -
ITSERIAL -
JBKSEQNBR -
JBOOKHDR -
MAAOIHIST -
MAINVDTL -
MAINVMSG -
MAMADHIST -
MAPOINV -
MAPOOLCNT -
MMDIST -
MMUAVAL -
POAGMTPART -
POAGMTPRIC -
POAOCDTL -
POAOCMAST -
POAOCSPRD -
POAUDIT -
POCODE -
POCOMPANY -
POHDROUT -
POHDRPVT -
POINTAOC -
POINTERFAC -
POLINE -
POLINEOUT -
POLINEPVT -
POLINESRC -
POMESSAGE -
POPCRUF -
POPLIUF -
POPSPHIST -
PORECEIVE -
PORECLINE -
PORETURNHD -
PORETURNLN -
POREVISION -
POTRACK -
POTRANSDTL -
POVAGRMTHD -
POVAGRMTLN -
POVENDOR -
PURCHORDER -
RECAOCDTL -
RJBRIDGE -
RJCONTROL -
RJSCHEDULE -
ROUTEDOC -
ROUTEHDR -
ROUTESTOP -
RQTRANS -
SOHDETAIL -
TERMS -
TXCODEMAST -
TXCOMPANY -
TXTAXCODE -
TXTAXTABLE -
TXTAXTRAN -
WHDEMAND -
WHDEMNDHDR -
Referenced Files
ACACCTCAT -
ACACTGRP -
ACACTIVITY -
AMASSET -
AMTEMPLATE -
APAPIHIST -
APAPPROVAL -
APAUTHBUY -
APCOMMENTS -
APCPYVND -
APDISTCODE -
APDISTHDR -
APDRFTCDES -
APEXPINV -
APPAYGROUP -
APPROCLEV -
APUDISTCD -
APUSRFLDEF -
APVENADDR -
APVENCLASS -
APVENGROUP -
APVENLOC -
APVENMAST -
APWTHCODE -
ARCOMP -
ARCUSTOMER -
BUYCLASS -
BUYCMPLOC -
BUYER -
BUYVENPF -
CBCASHFORM -
CBCCTRNJB -
CBDRFTFORM -
CBUSER -
CBUSRCLASS -
COMPONENT -
CUACCT -
CUCODES -
CUCONV -
CURELAT -
CUSTDESC -
CUSTORDER -
CXBURDEN -
CXCASEPREF -
CXPTMPITEM -
EEADVANCE -
EEEXPENSE -
FBDETAIL -
FBFUNDDTL -
FBHEADER -
FOBCODE -
GLACCTVLD -
GLADDRESS -
GLAMOUNTS -
GLCHART -
GLCHARTDTL -
GLCHARTSUM -
GLCODES -
GLINTCO -
GLNAMES -
GLSRCCODE -
GLSYSTEM -
GLTRANS -
GLZONE -
HCCHRGITEM -
ICBIN -
ICCATEGORY -
ICCOUT -
ICFACILITY -
ICMFGCODE -
ICMFGDIST -
ICVALUOM -
INSTATPROC -
INSTCMDTY -
INSTCTRYCD -
INSTNOTC -
INSTPORTS -
INSTREGN -
ITEMGROUP -
ITEMMAST -
JBKACCT -
JBKOPCODE -
JBKSYSCODE -
KITITEM -
MACOMPANY -
MAELMGPREL -
MAELMVALUE -
MAINVHAND -
MAMATCHTBL -
MAMSGTOL -
MAMTCHELEM -
MAMTCHRULE -
MAREASONCD -
MATCHCLASS -
MFGSHPFAC -
MLCOLEDGER -
MXLISTMBR -
NATACCT -
NATBALANCE -
OECOMPANY -
OECUST -
OEFRTCODE -
OEROUTE -
ORDERTYPE -
POAUDRULES -
POAUDTYPE -
PODOCREF -
POITEMVEN -
PORECADJHD -
PORECADJLN -
POVENDLOC -
PROCLEV -
PROCTEMPLN -
PROCUREGRP -
REASON -
REQHEADER -
REQLINE -
REQUESTER -
RQLOC -
STATICCUST -
STCOMMCODE -
SYSTEMCODE -
TXTAXRATE -
TXUSAGECD -
WFSETUP -
WHPROCTYPE -
WHSHLAUD -
AP20.4 - Invoice Line Detail
**Form Purpose
Use Invoice Line Detail (AP20.4) to maintain line details and matching detail
information.
**More Information
Access the Account detail tab to define account information for non-inventory
items. Access the Activity detail tab to define activity information for
non-inventory items. Access the Tax detail tab to define a tax code for
non-inventory items.
Updated Files
ACCOMMIT -
ACCOMMITX -
AMCONTROL -
AMINTER -
AMLOCATION -
AMRPRINTER -
AMTAXAUTH -
APACCRCODE -
APASTDTL -
APAUTHOR -
APBATCH -
APCOMPANY -
APDISCCODE -
APDISTRIB -
APDRAFTS -
APDSUSRFLD -
APHLDINV -
APHOLDCODE -
APINCCODE -
APINUSRFLD -
APINVOICE -
APMONITOR -
APPAYMENT -
APUAVAL -
CBBANKINST -
CBCASHCODE -
CBCHECK -
CBCPYCASH -
COCOMP -
COLINE -
COSGBLK -
CXCOMPANY -
CXCPIUAVAL -
CXITEMHIST -
CXPREFITEM -
GLCOMMIT -
GLCOMMITX -
GLMASTER -
HCPATCHRG -
HCPATVISIT -
ICCOMPANY -
ICHISTORY -
ICLOCATION -
ICLOT -
ICRECEIPTS -
ICTRANS -
ICTRANSDTL -
INSTDETAIL -
INSTHEADER -
INSTNBR -
ITEMLOC -
ITSERIAL -
JBKSEQNBR -
JBOOKHDR -
MAAOIHIST -
MAINVDTL -
MAINVMSG -
MAMADHIST -
MAPOINV -
MAPOOLCNT -
MMDIST -
MMUAVAL -
POAGMTPART -
POAGMTPRIC -
POAOCDTL -
POAOCMAST -
POAOCSPRD -
POAUDIT -
POCODE -
POCOMPANY -
POHDROUT -
POHDRPVT -
POINTAOC -
POINTERFAC -
POLINE -
POLINEOUT -
POLINEPVT -
POLINESRC -
POMESSAGE -
POPCRUF -
POPLIUF -
POPSPHIST -
PORECEIVE -
PORECLINE -
PORETURNHD -
PORETURNLN -
POREVISION -
POTRACK -
POTRANSDTL -
POVAGRMTHD -
POVAGRMTLN -
POVENDOR -
PURCHORDER -
RECAOCDTL -
RJBRIDGE -
RJCONTROL -
RJSCHEDULE -
ROUTEDOC -
ROUTEHDR -
ROUTESTOP -
RQTRANS -
SOHDETAIL -
TERMS -
TXCODEMAST -
TXCOMPANY -
TXTAXCODE -
TXTAXTABLE -
TXTAXTRAN -
WHDEMAND -
WHDEMNDHDR -
Referenced Files
ACACCTCAT -
ACACTGRP -
ACACTIVITY -
AMASSET -
AMTEMPLATE -
APAPIHIST -
APAPPROVAL -
APAUTHBUY -
APCOMMENTS -
APCPYVND -
APDISTCODE -
APDISTHDR -
APDRFTCDES -
APEXPINV -
APPAYGROUP -
APPROCLEV -
APUDISTCD -
APUSRFLDEF -
APVENADDR -
APVENCLASS -
APVENGROUP -
APVENLOC -
APVENMAST -
APWTHCODE -
ARCOMP -
ARCUSTOMER -
BUYCLASS -
BUYCMPLOC -
BUYER -
BUYVENPF -
CBCASHFORM -
CBCCTRNJB -
CBDRFTFORM -
CBUSER -
CBUSRCLASS -
COMPONENT -
CUACCT -
CUCODES -
CUCONV -
CURELAT -
CUSTDESC -
CUSTORDER -
CXBURDEN -
CXCASEPREF -
CXPTMPITEM -
EEADVANCE -
EEEXPENSE -
FBDETAIL -
FBFUNDDTL -
FBHEADER -
FOBCODE -
GLACCTVLD -
GLADDRESS -
GLAMOUNTS -
GLCHART -
GLCHARTDTL -
GLCHARTSUM -
GLCODES -
GLINTCO -
GLNAMES -
GLSRCCODE -
GLSYSTEM -
GLTRANS -
GLZONE -
HCCHRGITEM -
ICBIN -
ICCATEGORY -
ICCOUT -
ICFACILITY -
ICMFGCODE -
ICMFGDIST -
ICVALUOM -
INSTATPROC -
INSTCMDTY -
INSTCTRYCD -
INSTNOTC -
INSTPORTS -
INSTREGN -
ITEMGROUP -
ITEMMAST -
JBKACCT -
JBKOPCODE -
JBKSYSCODE -
KITITEM -
MACOMPANY -
MAELMGPREL -
MAELMVALUE -
MAINVHAND -
MAMATCHTBL -
MAMSGTOL -
MAMTCHELEM -
MAMTCHRULE -
MAREASONCD -
MATCHCLASS -
MFGSHPFAC -
MLCOLEDGER -
MXLISTMBR -
NATACCT -
NATBALANCE -
OECOMPANY -
OECUST -
OEFRTCODE -
OEROUTE -
ORDERTYPE -
POAUDRULES -
POAUDTYPE -
PODOCREF -
POITEMVEN -
PORECADJHD -
PORECADJLN -
POVENDLOC -
PROCLEV -
PROCTEMPLN -
PROCUREGRP -
REASON -
REQHEADER -
REQLINE -
REQUESTER -
RQLOC -
STATICCUST -
STCOMMCODE -
SYSTEMCODE -
TXTAXRATE -
TXUSAGECD -
WFSETUP -
WHPROCTYPE -
WHSHLAUD -
AP20.5 - Multiple Invoice
**Form Purpose
Use Multiple Invoice (AP20.5) to enter multiple invoices quickly, letting the
system retrieve default information and calculate due dates and discount
information based on the payment terms code that defaults from the vendor, if
assigned, or assigned to the invoice on this form. Invoices that you enter on
this form must have the same process level, invoice accrual code, operator,
batch number and date (for batch control), authority code (for invoice
registration), post date, and journal book.
**Processing Effect
Note If you use a distribution code that allocates a percentage of the
invoice amount to each distribution line, any "extra" distribution amount
caused by rounding is included in the last distribution line.
Updated Files
ACCOMMIT -
ACCOMMITX -
AMCONTROL -
AMINTER -
AMLOCATION -
AMRPRINTER -
AMTAXAUTH -
APACCRCODE - Validates and updates invoice accrual code used flag.
APASTDTL -
APAUTHOR - Validates and updates authority code used flag.
APBATCH - Updates batch control totals.
APCOMPANY - Updates company with last voucher number used.
APDISCCODE -
APDISTRIB - Creates and updates invoice distribution records.
APDRAFTS - No updates.
APDSUSRFLD -
APHLDINV -
APHOLDCODE - Validates and updates hold code used flag.
APINCCODE - Validates and updates income code used flag.
APINUSRFLD -
APINVOICE - Creates and updates invoice records.
APMONITOR - Validates and updates monitor file.
APPAYMENT - Creates and updates split invoice payment records.
APUAVAL -
CBBANKINST - Validates payment code and updates used flag.
CBCASHCODE - Validates cash code and updates used flag.
CBCHECK - Creates and updates payment records.
CBCPYCASH - Validates company-cash code relationship and updates used flag.
COCOMP -
COLINE -
COSGBLK -
CXCOMPANY -
CXCPIUAVAL -
CXITEMHIST -
CXPREFITEM -
GLCOMMIT -
GLCOMMITX -
GLMASTER - Validates general ledger accounts.
HCPATCHRG -
HCPATVISIT -
ICCOMPANY -
ICHISTORY -
ICLOCATION -
ICLOT -
ICRECEIPTS -
ICTRANS -
ICTRANSDTL -
INSTDETAIL -
INSTHEADER -
INSTNBR -
ITEMLOC -
ITSERIAL -
JBKSEQNBR -
JBOOKHDR -
MAAOIHIST -
MAINVDTL -
MAINVMSG -
MAMADHIST -
MAPOINV -
MAPOOLCNT -
MMDIST -
MMUAVAL -
POAGMTPART -
POAGMTPRIC -
POAOCDTL -
POAOCMAST -
POAOCSPRD -
POAUDIT -
POCODE -
POCOMPANY -
POHDROUT -
POHDRPVT -
POINTAOC -
POINTERFAC -
POLINE -
POLINEOUT -
POLINEPVT -
POLINESRC -
POMESSAGE -
POPCRUF -
POPLIUF -
POPSPHIST -
PORECEIVE -
PORECLINE -
PORETURNHD -
PORETURNLN -
POREVISION -
POTRACK -
POTRANSDTL -
POVAGRMTHD -
POVAGRMTLN -
POVENDOR -
PURCHORDER -
RECAOCDTL -
RJBRIDGE -
RJCONTROL -
RJSCHEDULE -
ROUTEDOC -
ROUTEHDR -
ROUTESTOP -
RQTRANS -
SOHDETAIL -
TERMS - Validates terms code.
TXCODEMAST -
TXCOMPANY -
TXTAXCODE - Validates tax code.
TXTAXTABLE - Validates tax table.
TXTAXTRAN -
WHDEMAND -
WHDEMNDHDR -
Referenced Files
ACACCTCAT -
ACACTGRP -
ACACTIVITY -
AMASSET -
AMTEMPLATE -
APAPIHIST -
APAPPROVAL -
APAUTHBUY -
APCOMMENTS - Deletes invoice comments on delete function.
APCPYVND -
APDISTCODE - Validates and defaults distribution code accounts.
APDISTHDR -
APDRFTCDES - Not referenced.
APEXPINV -
APPAYGROUP -
APPROCLEV - Validates and defaults process level information.
APUDISTCD -
APUSRFLDEF -
APVENADDR -
APVENCLASS - Defaults vendor class information.
APVENGROUP - Updates last one-time vendor used.
APVENLOC - Validates and defaults alternate location information.
APVENMAST - Validates and defaults vendor master information.
APWTHCODE -
ARCOMP -
ARCUSTOMER -
BUYCLASS -
BUYCMPLOC -
BUYER -
BUYVENPF -
CBCASHFORM -
CBCCTRNJB -
CBDRFTFORM -
CBUSER - Validates user can access cash code.
CBUSRCLASS - Validates all users for cash code.
COMPONENT -
CUACCT -
CUCODES - Validates currency code.
CUCONV - Calculates base currency amounts.
CURELAT - Validates currency relationships.
CUSTDESC -
CUSTORDER -
CXBURDEN -
CXCASEPREF -
CXPTMPITEM -
EEADVANCE - Assures no duplication of invoice number with an advance
number.
EEEXPENSE - Assures no duplication of invoice number with an expense
number.
FBDETAIL -
FBFUNDDTL -
FBHEADER -
FOBCODE -
GLACCTVLD -
GLADDRESS - Accessed by general ledger common routines.
GLAMOUNTS -
GLCHART - Used in general ledger common routine.
GLCHARTDTL - Used in general ledger common routine.
GLCHARTSUM -
GLCODES - Validates availability of post date.
GLINTCO - Validates intercompany relationships.
GLNAMES - Validates general ledger accounting unit.
GLSRCCODE -
GLSYSTEM - Validates general ledger company.
GLTRANS -
GLZONE -
HCCHRGITEM -
ICBIN -
ICCATEGORY -
ICCOUT -
ICFACILITY -
ICMFGCODE -
ICMFGDIST -
ICVALUOM -
INSTATPROC -
INSTCMDTY -
INSTCTRYCD -
INSTNOTC -
INSTPORTS -
INSTREGN -
ITEMGROUP -
ITEMMAST -
JBKACCT -
JBKOPCODE -
JBKSYSCODE -
KITITEM -
MACOMPANY -
MAELMGPREL -
MAELMVALUE -
MAINVHAND -
MAMATCHTBL -
MAMSGTOL -
MAMTCHELEM -
MAMTCHRULE -
MAREASONCD -
MATCHCLASS -
MFGSHPFAC -
MLCOLEDGER -
MXLISTMBR -
NATACCT -
NATBALANCE -
OECOMPANY -
OECUST -
OEFRTCODE -
OEROUTE -
ORDERTYPE -
POAUDRULES -
POAUDTYPE -
PODOCREF -
POITEMVEN -
PORECADJHD -
PORECADJLN -
POVENDLOC -
PROCLEV -
PROCTEMPLN -
PROCUREGRP -
REASON -
REQHEADER -
REQLINE -
REQUESTER -
RQLOC -
STATICCUST -
STCOMMCODE -
SYSTEMCODE -
TXTAXRATE - Validates effective tax rate.
TXUSAGECD -
WFSETUP -
WHPROCTYPE -
WHSHLAUD -
AP20.6 - Prepayment
**Form Purpose
Use Prepayment (AP20.6) to enter and maintain unreleased prepayment invoices
in the Lawson Accounts Payable system. A prepayment is a deposit or payment
made to a vendor before an invoice is received. Prepayment invoices do not
contain expense distributions.
**Processing Effect
When the prepayment is paid, AP170 (Payment Closing) creates a released
credit memo for the same amount as the prepayment invoice. The
system-generated credit memo are defined as type "Y," have an invoice suffix
number of "01," and be assigned the prepayment hold code defined in AP00.1
(Vendor Group). You can then apply the invoice for which the prepayment was
made to the system-generated credit memo in AP35.1 (Credit Memo Application).
The credit memo application process automatically removes the prepayment hold
code from the system-generated prepayment credit memo, allowing the credit
memo to be processed along with its applied invoice.
Updated Files
APACCRCODE - Validates and updates invoice accrual code used flag.
APAUTHOR - Validates and updates authority code used flag.
APBATCH - Updates batch control totals.
APCOMPANY - Updates last used voucher number.
APHLDINV -
APHOLDCODE - Validates and updates hold code used flag.
APINCCODE - Validates and updates income code used flag.
APINVOICE - Creates and updates invoice records.
APMONITOR - Validates and updates monitor file.
APPAYMENT - Creates and updates split invoice payment records.
CBBANKINST - Validates payment code and updates used flag.
CBCASHCODE - Validates cash code and updates used flag.
CBCHECK - Adds, changes, and deletes payment records.
CBCPYCASH - Validates company-cash code relationship and updates used flag.
TXCODEMAST -
TXCOMPANY -
TXTAXCODE -
TXTAXTABLE -
Referenced Files
APAPIHIST -
APAPPROVAL -
APCOMMENTS - Deletes invoice comments on delete function.
APCPYVND -
APDISCCODE -
APPAYGROUP -
APPROCLEV - Validates and defaults process level information.
APVENADDR -
APVENCLASS - Defaults vendor class information.
APVENGROUP - Updates last one-time vendor value.
APVENLOC - Validates and defaults alternate location information.
APVENMAST - Validates and defaults vendor master information.
APWTHCODE -
CBCASHFORM -
CBDRFTFORM -
CBUSER - Validates user can access cash code.
CBUSRCLASS - Validates all users for cash code.
CUCONV - Calculates base amounts.
CURELAT - Validates currency relationship.
GLADDRESS - Accessed by general ledger common routine.
GLCHART -
GLCODES - Validates payment date availability.
GLSYSTEM - Validates general ledger company.
TXTAXRATE -
WFSETUP -
AP20.7 - Distributions
**Form Purpose
Use Distributions (AP20.7) to maintain distributions for an unreleased
invoice. You can add new distributions and maintain existing distributions.
Make sure the total distribution amount equals the invoice amount and the
total tax distribution amount equals the total invoice tax amount. If you
change the distributions of a recurring invoice, the change are reflected in
all recurrences.
Updated Files
ACCOMMIT -
ACCOMMITX -
AMCONTROL -
AMINTER -
AMLOCATION -
AMRPRINTER -
AMTAXAUTH -
APACCRCODE - Validates and updates invoice accrual code used flag.
APASTDTL -
APAUTHOR - Validates and updates authority code used flag.
APBATCH - Updates batch control totals.
APCOMPANY - Validates and updates last voucher number.
APDISCCODE -
APDISTRIB - Creates and updates invoice distribution.
APDRAFTS - No updates.
APDSUSRFLD -
APHLDINV -
APHOLDCODE - Validates and updates hold code used flag.
APINCCODE - Validates and updates income code used flag.
APINUSRFLD -
APINVOICE - Updates invoice records.
APMONITOR - Validates and updates monitor records.
APPAYMENT - Updates split invoice payment records.
APUAVAL -
CBBANKINST - Validates payment code and updates used flag.
CBCASHCODE - Validates cash code and updates used flag.
CBCHECK - Updates payment records.
CBCPYCASH - Validates company-cash code relationship and updates used flag.
COCOMP -
COLINE -
COSGBLK -
CXCOMPANY -
CXCPIUAVAL -
CXITEMHIST -
CXPREFITEM -
GLCOMMIT -
GLCOMMITX -
GLMASTER - Validates general ledger account.
HCPATCHRG -
HCPATVISIT -
ICCOMPANY -
ICHISTORY -
ICLOCATION -
ICLOT -
ICRECEIPTS -
ICTRANS -
ICTRANSDTL -
INSTDETAIL -
INSTHEADER -
INSTNBR -
ITEMLOC -
ITSERIAL -
JBKSEQNBR -
JBOOKHDR -
MAAOIHIST -
MAINVDTL -
MAINVMSG -
MAMADHIST -
MAPOINV -
MAPOOLCNT -
MMDIST -
MMUAVAL -
POAGMTPART -
POAGMTPRIC -
POAOCDTL -
POAOCMAST -
POAOCSPRD -
POAUDIT -
POCODE -
POCOMPANY -
POHDROUT -
POHDRPVT -
POINTAOC -
POINTERFAC -
POLINE -
POLINEOUT -
POLINEPVT -
POLINESRC -
POMESSAGE -
POPCRUF -
POPLIUF -
POPSPHIST -
PORECEIVE -
PORECLINE -
PORETURNHD -
PORETURNLN -
POREVISION -
POTRACK -
POTRANSDTL -
POVAGRMTHD -
POVAGRMTLN -
POVENDOR -
PURCHORDER -
RECAOCDTL -
RJBRIDGE -
RJCONTROL -
RJSCHEDULE -
ROUTEDOC -
ROUTEHDR -
ROUTESTOP -
RQTRANS -
SOHDETAIL -
TERMS - Validates terms code.
TXCODEMAST -
TXCOMPANY -
TXTAXCODE - Validates tax code.
TXTAXTABLE - Validates and defaults tax table information.
TXTAXTRAN -
WHDEMAND -
WHDEMNDHDR -
Referenced Files
ACACCTCAT -
ACACTGRP -
ACACTIVITY -
AMASSET -
AMTEMPLATE -
APAPIHIST -
APAPPROVAL -
APAUTHBUY -
APCOMMENTS - Deletes invoice comments when delete functions.
APCPYVND -
APDISTCODE - Validates and defaults distribution code accounts.
APDISTHDR -
APDRFTCDES - Used in bill of exchange accrual code common routine.
APEXPINV -
APPAYGROUP -
APPROCLEV - Validates and defaults process level information.
APUDISTCD -
APUSRFLDEF -
APVENADDR -
APVENCLASS - Defaults vendor class information.
APVENGROUP - Updates last one-time vendor.
APVENLOC - Validates and defaults alternate location information.
APVENMAST - Validates and defaults vendor master information.
APWTHCODE -
ARCOMP -
ARCUSTOMER -
BUYCLASS -
BUYCMPLOC -
BUYER -
BUYVENPF -
CBCASHFORM -
CBCCTRNJB -
CBDRFTFORM -
CBUSER - Validates user can access cash code.
CBUSRCLASS - Validates all users for cash code.
COMPONENT -
CUACCT -
CUCODES - Validates currency code.
CUCONV - Calculates base currency amounts.
CURELAT - Validates currency relationships.
CUSTDESC -
CUSTORDER -
CXBURDEN -
CXCASEPREF -
CXPTMPITEM -
EEADVANCE - Not referenced.
EEEXPENSE - Not referenced.
FBDETAIL -
FBFUNDDTL -
FBHEADER -
FOBCODE -
GLACCTVLD -
GLADDRESS - Accessed by general ledger common routine.
GLAMOUNTS -
GLCHART - Used in general ledger common routine.
GLCHARTDTL - Used in general ledger common routine.
GLCHARTSUM -
GLCODES - Validates availability of post date.
GLINTCO - Validates intercompany relationship.
GLNAMES - Validates general ledger accounting unit.
GLSRCCODE -
GLSYSTEM - Validates general ledger company.
GLTRANS -
GLZONE -
HCCHRGITEM -
ICBIN -
ICCATEGORY -
ICCOUT -
ICFACILITY -
ICMFGCODE -
ICMFGDIST -
ICVALUOM -
INSTATPROC -
INSTCMDTY -
INSTCTRYCD -
INSTNOTC -
INSTPORTS -
INSTREGN -
ITEMGROUP -
ITEMMAST -
JBKACCT -
JBKOPCODE -
JBKSYSCODE -
KITITEM -
MACOMPANY -
MAELMGPREL -
MAELMVALUE -
MAINVHAND -
MAMATCHTBL -
MAMSGTOL -
MAMTCHELEM -
MAMTCHRULE -
MAREASONCD -
MATCHCLASS -
MFGSHPFAC -
MLCOLEDGER -
MXLISTMBR -
NATACCT -
NATBALANCE -
OECOMPANY -
OECUST -
OEFRTCODE -
OEROUTE -
ORDERTYPE -
POAUDRULES -
POAUDTYPE -
PODOCREF -
POITEMVEN -
PORECADJHD -
PORECADJLN -
POVENDLOC -
PROCLEV -
PROCTEMPLN -
PROCUREGRP -
REASON -
REQHEADER -
REQLINE -
REQUESTER -
RQLOC -
STATICCUST -
STCOMMCODE -
SYSTEMCODE -
TXTAXRATE - Validates and defaults tax information.
TXUSAGECD -
WFSETUP -
WHPROCTYPE -
WHSHLAUD -
AP20.8 - Payment Schedule
**Form Purpose
Use Payment Schedule (AP20.8) to create and maintain a payment schedule for
an unreleased invoice (split the invoice into more than one payment). You can
create a payment schedule manually or define the number of payments required
and select a payment schedule to automatically split the invoice amount
equally into the number of payments specified.
**Processing Effect
The full amount of the invoice expense is transferred to the general ledger
using the post date assigned to the invoice. Make sure the total payment
amount equals the invoice amount.
Updated Files
APDRAFTS - Creates bill of exchange records.
APHLDINV -
APINVOICE - Updates invoice record.
APMONITOR - Validates and updates monitor record.
APPAYMENT - Creates and updates split invoice payment records.
CBBANKINST - Validates payment code and updates used flag.
CBCASHCODE - Validates cash code and updates used flag.
CBCHECK - Creates payment record.
CBCPYCASH - Validates company-cash code relationship and updates used flag.
Referenced Files
APCOMMENTS - Validates comments exist.
APCOMPANY - Validates company.
APDISCCODE -
APDRFTCDES - Used in bill of exchange common routine.
APHLDINV -
APPAYGROUP -
APPROCLEV - Validate and default process level information.
APVENCLASS - Defaults vendor class information.
APVENGROUP - Validates vendor group.
APVENLOC - Validates and default vendor location information.
APVENMAST - Validates vendor master.
APWTHCODE -
CBCCTRNJB -
CBUSER - Validates user can access cash code.
CBUSRCLASS - Validates all users for cash code.
CUCONV - Calculates base currency amounts.
CURELAT - Validates currency relationships.
GLADDRESS - Accessed by general ledger common routine.
GLCHART -
GLCODES - Used in general ledger common routine.
GLINTCO -
GLSYSTEM - Accessed by general ledger common routine.
INVOKED Programs
ACAC
ACCL
API4
IFAC
IFCU
IFSG
SLSE
SLSU
APCP
API3
API5
GLCC
ICCP
ICI1
ICIT
IFAU
IFOB
IFRS
MAED
MAI1
APDS
API2
MARC
POED
SLSS
ICLC
MAPL
POCP
POIF
POIH
POI6
POI4
POI7
PHI6
POI9
POIA
POIL
POIX
POIG
POII
POIJ
POI1
POIM
|