Lawson Insight Technical Documentation

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ERDs Tables Conditions Elements Libraries APIs Forms

AR115


AR115 - EFT Payment Creation

**Form Purpose
Run EFT Payment Creation (AR115) to create ACH or non-formatted payments, and
apply payments to eligible open items. Payments are created for each customer
at the customer group/EFT national account level.




Updated Files

    ACCOMMIT   -

    ACCOMMITX  -

    ADDRDATA   -

    ARAPPLIED  - Application record created for open items.

    ARCOMP     - Updated with last payment batch number used.

    ARCUSTOMER - Used to validate customer.

    ARCUSTPER  - Used to validate customer transaction period record.

    ARDISTRIB  - Distribution record created for created memo processing.

    AROIHDR    - Open item header record created for created memo processing.

    AROITEMS   - Open item record created for created memo processing, and EFT
                 status updated.

    AROPIVOT   -

    ARPAYMENT  - Payment record created representing funds received and for
                 application to open items.

    ARPROCLEVL - Used flag updated.

    ARPYMNTHDR - Payment header record created for batch of payment records.

    ARSADJUST  - Temporary application adjustment record created.

    ARSAPPLIED - Temporary application record created.

    ARSUMMARY  - Part of process level validation.

    ARUDISTRIB -

    ARUPMNTHDR -

    ARXIND     -

    CBBANKENT  - Used as part of cash ledger validation.

    CBBANKINST - Used as part of payment code validation.

    CBCASHCODE - Used as part of cash code validation.

    CBCPYCASH  - Used as part of cash ledger validation.

    CBDISTRIB  - Used as part of cash ledger validation.

    CBTRANS    - Creates cash ledger transaction record.

    CKPOINT    - Used for restart purposes.

    CUSTDESC   - Validates customer description record.

    DTCUSTBANK - Validates Bills of Exchange bank accounts.

    FTTRANS    - EFT transaction record created for open items.

    GLCOMMIT   -

    GLCOMMITX  -

    JBOOKHDR   - Used in journal book processing.

    MXLISTHDR  -

    NATBALANCE - National account balance updated for with payment amount.

    TERMS      - Used to validate terms code.

    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 -

    ACCATSUMX  -

    APACCRCODE - Used as part of vendor validation.

    APCOMPANY  - Used as part of vendor validation.

    APVENGROUP - Used as part of vendor validation.

    ARCODE     - Used to validate general ledger accounts receivable code.

    ARCUSTGRP  - Used to validate customer group.

    AROPTR     - Used to validate operator.

    ARREASON   - Validates reason code record.

    CBADJUST   - Used as part of cash ledger validation.

    CBBALANCE  - Used as part of cash ledger validation.

    CBSTATEMNT -

    CBSTMTDTL  -

    CBUSER     - Used as part of cash ledger validation.

    CBUSRCLASS - Used as part of cash ledger validation.

    CRANALYST  - Validates credit analyst code.

    CUCONV     - Used as part of currency validation.

    CURELAT    -

    CUSTORDER  -

    FTCUSTNOTE - Used to validate customer notification method.

    GLADDRESS  - Validates general ledger company information.

    GLCHART    - Used as part of general ledger account validation.

    GLCODES    - Used to validate system control.

    GLNAMES    -

    GLSYSTEM   - Used as part of general ledger account validation.

    INSTCTRYCD -

    JBKOPCODE  - Used in journal book processing.

    JBKSYSCODE - Used in journal book processing.

    NATACCT    - Used to validate national account customer relationship.

    OECOMPANY  -

    SYSTEMCODE -

    TXTAXRATE  - Validates tax rate.

    WFSETUP    -


INVOKED Programs

    ACCL
    API4
    ACAC
    ACTA
    IFCU
    IFAC
    IFAU
    IFOB
    IFSG
    SLSE
    SLSU
    IFLU
    IFRS
    IFSC