Lawson Insight Technical Documentation

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AC190


AC190 - Activity Posting

**Form Purpose
Run Activity Posting (AC190) to post transactions to the Project and Activity
Accounting system.

**Processing Effect
The program posts released journal entries created in the Project and
Activity Accounting system (on AC40.1, AC41.1, and AC42.1), imported from a
non-Lawson application (using AC540), or transferred from other Lawson
software applications. AC190 updates activity balances and calculates billable
and revenue amounts based on the billing and contract setup.

The program changes journal entries to a posted status. The date you enter in
the Post Thru Date field is the date through which activity transactions are
posted. The Update field determines whether AC190 is run for update or edit.

**More Information
You can choose from a variety of selection options or filters. You can select
transactions for posting by activity group or activity group list, activity,
activity list, system code, or source code. You can also select by system code
together with source code. Or you can combine an activity group, an activity,
or an activity list with a system code, a source code, or both a system and a
source code.

When you run AC190, the currency routines are used to calculate the two
report currency amounts from the transaction amount.

You can inquire on released (unposted) and posted transactions using AC96.1
(Transaction Analysis). You can edit transactions in error using AC45.1
(Activity Transaction Edit).

You can run AC190 concurrently with AC130, AC131, and AC191.




Updated Files

    ACACTIVITY - Updates the High Post Date, Balance Amount, Balance Unit,
                 Balance Hours, Total Cost and Total Billable fields on this
                 file.

    ACBRDNADTR -

    ACBRDNTRAN -

    ACCOMMIT   -

    ACCOMMITX  -

    ACTRANS    - Updates the status on this file from released to posted. It
                 also updates the Bill Rate, Billable, Attribute, Attribute
                 Value, Billable Amount and Billable Units fields for billable
                 transactions.

    ACTRANSEG  -

    ADDRDATA   -

    CKPOINT    - Used for restart capability.

    IFMONITOR  -

    MXLISTHDR  - Updates the Last Build Time and Last Build Date fields on this
                 file.

    MXLISTMBR  - Updates the new activities included in the list.

    SUBCKPOINT -

    SYSTEMCODE - This file is used by a common routine that is used by this
                 program.


Referenced Files

    ACACCTCAT  - References this file to validate the account category.

    ACACCTCATX - References this file to validate that the account category is
                 assigned to the activity group or activity. Also, references
                 this file to validate billing parameters.

    ACACRESRT  -

    ACACRESRTX -

    ACACTGRP   - References this file to validate the activity group.

    ACACTMXVAL - References this file to validate activity attributes and
                 values.

    ACACTSEG   -

    ACADDLCNTR -

    ACAMCODE   - References this file to validate activity asset.

    ACASNROLE  -

    ACASSIGN   - References this file to validate resources assigned to an
                 activity.

    ACBILL     - References this file to validate billing parameters.

    ACBILLX    - References this file to validate billing parameters.

    ACBLRATE   - References this file to validate the billing rate schedule for
                 time and materials and units of production billing.

    ACBLRATEX  - References this file to determine the billing rate for time
                 and materials and  units of production billing.

    ACBRDNBLRX -

    ACBRDNDTL  -

    ACBRDNHDR  -

    ACBRDNPLX  -

    ACBRDNPRRX -

    ACBRDNTYPE -

    ACCATGRP   -

    ACCATGRPX  -

    ACCATSUMX  -

    ACCNTRACT  -

    ACCTRCATGX -

    ACCUAMT    - Creates or updates this file for posting-level activity
                 amounts in the activity (non-base) currency. Maintains the
                 previous year's balance and current year balance.

    ACCUSTOMER - References this file to validate the activity customer.

    ACGLCODE   -

    ACGRPMXVAL -

    ACIFACTV   -

    ACMASTER   - Creates or updates this file for posting-level activity
                 amounts in the activity group currency. Maintains the previous
                 year's balance and current year balance for amounts and units.

    ACMXVAL    - References this file to retrieve the billing attributes and
                 values.

    ACOVERRIDE -

    ACRESRT    -

    ACRESRTX   -

    ACROLE     -

    ACSTATUS   -

    ACUOM      - References this file to determine if the UOM is an hour or
                 unit type.

    CUCONV     -

    CURELAT    -

    EMPLOYEE   -

    GLADDRESS  -

    GLCHART    -

    GLSCCAT    -

    GLSRCCODE  - References this file to determine the valid transaction
                 attributes by source code.

    GLSYSTEM   -

    GMAWARD    -

    INSTCTRYCD -

    MXCATDEF   - This file is used by a common routine that is used by this
                 program.

    MXELEMENT  - This file is used by a common routine that is used by this
                 program.

    MXLISTDTL  - References this file to validate list parameters.

    MXOBJCAT   - This file is used by a common routine that is used by this
                 program.

    PGEMPLOYEE -

    WFSETUP    -


INVOKED Programs

    ACAC
    ACCL
    ACTA
    API4
    IFAC
    IFAU
    IFCU
    IFOB
    IFSG
    SLSE
    SLSU
    IFLU
    ACDR
    ACSR
    IFFC
    IFGT
    GLCC
    IFRS
    IFSC
    SLSB
    SLSS
    IFIM
    IFJR
    SLFD