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BL29.1 - Batch Control
**Form Purpose
Use Batch Control (BL29.1) to view, change, and release unreleased batches of
invoices and credit memos.
**More Information
The application assigns the batch number when invoices and credit memos are
added on BL20.1 (Invoice Entry). If you selected the batch control totals
option on the Company form, you must enter control totals and they must equal
the detail added to the batch before releasing the batch.
Updated Files
ACCOMMIT - Used in the Activity Management edit routines.
ACCOMMITX - Used in the Activity Management edit routines.
ADDRDATA -
ARCODE - Used to validate Accounts Receivable codes. If this is the
first time the Accounts Receivable code is
referenced, the used flag is set.
ARCUSTOMER - Used to validate the Accounts Receivable customer.
ARPROCLEVL - Used to validate the Accounts Receivable process level.
BLOEIUF -
BLOILUF -
CBBANKINST - Used to validate payment codes.
COCOMP -
COLINE - Used when creating invoice/invoice lines by copying a customer
order.
COLINEUOM - Used when creating invoice/invoice lines by copying a customer
order.
COMISC - Used when creating invoice/invoice Lines by copying a customer
order.
COSGBLK -
CUSTDESC - Used to display Accounts Receivable customer information.
CUSTEP -
CUSTORDER - Used when creating invoice/invoice lines by copying a customer
order.
CXCOMPANY -
CXCPIUAVAL -
CXITEMHIST -
CXPREFITEM -
EPBATCH -
EPTRANS -
EPTYPE -
GLCOMMIT -
GLCOMMITX -
HCPATCHRG -
HCPATVISIT -
HOLDCODES - Used to validate hold codes. If this is the first time the
hold code is
referenced, the used flag is set.
ICCOMPANY - Used to validate the Inventory Control company.
ICHISTORY -
ICLOCATION - Used to validate the Inventory Control location.
ICLOT -
ICRECEIPTS -
ICTRANS -
ICTRANSDTL -
INSTDETAIL -
INSTHEADER -
INSTNBR -
ITEMLOC - Used to validate the Inventory Control item location.
ITSERIAL -
MAPOOLCNT -
MMDIST -
MMUAVAL -
MXLISTHDR -
NATBALANCE - Used in the Accounts Receivable customer edit routine.
OEAUDIT -
OECOLUF -
OECORUF -
OECUSTCODE - Used to validate customer codes. If this is the first time
the customer code is
used, the used flag is set on.
OEFRTCODE - Used to validate freight codes.
OEINVCDTL - Used to store lot/serial information for an invoice line for
subsequent printing
on the invoice form.
OEINVCLINE - Used to store all information for an invoice line.
OEINVCMISC - Used to store all information for an add-on charge attached to
an invoice or
invoice line.
OEINVCTAX - Used to store tax amounts calculated when the invoice is
released.
OEINVCTYPE - Used to validate invoice types. If this is the first time the
invoice type is
referenced, the used flag is set.
OEINVCUOM - Used to store invoice line pricing information when the line
has been priced
via multiple units of measure.
OEINVHDR - Invoice Batch Header file. Created when an invoice is added,
if it does not
already exist. Batch totals are updated as invoices are added
for the batch.
OEINVOICE - Stores all information for an invoice.
OEINVSGBLK -
OEMETHOD -
OEMISC - Used to validate the Billing add-on charge code.
OEORDCMNT - Used when creating invoice/invoice lines by copying a customer
order.
OEPROCLEV - Used to validate the Billing process level.
OEREASON - Used to validate reason codes. If this is the first time the
reason code is
referenced, the used flag is set.
OESOURCE -
ORDERTYPE - Used to validate order types.
POAGMTPRIC -
POAOCDTL -
POAOCMAST -
POAOCSPRD -
POAUDIT -
POCODE -
POCOMPANY -
POHDROUT -
POHDRPVT -
POINTAOC -
POINTERFAC -
POLINE -
POLINEOUT -
POLINEPVT -
POLINESRC -
POMESSAGE -
POPCRUF -
POPLIUF -
PORECEIVE -
PORECLINE -
PORETURNHD -
PORETURNLN -
POREVISION -
POTRACK -
POTRANSDTL -
POVAGRMTHD -
POVAGRMTLN -
POVENDOR -
PURCHORDER -
RECAOCDTL -
REQLINE -
ROUTEDOC -
ROUTEHDR -
ROUTESTOP -
RQTRANS -
SALESREP - Used to validate sales representatives. If this is the first
time the sales representative is referenced, the used flag is
set.
SHIPTO - Used to validate ship-to numbers.
SOHDETAIL -
TERITORY - Used to validate territories. If this is the first time the
territory is
referenced, the used flag is set.
TERMS - Used to validate terms codes. If this is the first time the
terms code is
referenced, the used flag is set.
TXCODEMAST - Stores tax codes, descriptions, and tax types that define how
the tax code is used.
TXCOMPANY - Stores company information and which tax system the company
uses. Includes general ledger accounts if they are defined at
the company level.
TXTAXCODE - Used to validate tax codes.
TXTAXTABLE - Used in the tax code edit routine.
TXTAXTRAN -
WHDEMAND -
WHDEMNDHDR -
WORDER -
Referenced Files
ACACCTCAT - Used in the Activity Management edit routines.
ACACTGRP - Used in the Activity Management edit routines.
ACACTIVITY - Used to validate the Activity Management activity
code.
ACCATSUMX -
ACCUSTOMER -
AGINGCODE - Used in the Accounts Receivable customer edit routine.
AMASSET -
AMTEMPLATE -
APACCRCODE - Used in the vendor edit routine.
APAPIHIST -
APCOMPANY -
APHLDINV -
APINVOICE -
APPAYMENT -
APPROCLEV -
APUAVAL -
APVENADDR -
APVENGROUP -
ARADJUST - Used in the customer edit routine.
ARCOMP - Used to validate the Accounts Receivable company.
ARCUSTFLDS - Used in the Accounts Receivable customer edit and update
routines.
ARCUSTGRP - Used in the Accounts Receivable company edit routine.
ARCUSTTOTS - Used in the Accounts Receivable customer edit routine.
ARITRANS - Used in the customer edit routine.
ARLOCKBOX - Used in the Accounts Receivable customer edit routine.
AROIHDR - Used in the customer edit routine.
AROITEMS - Used in the customer edit routine.
ARPAYMENT - Used in the Accounts Receivable customer edit routine.
BILLTO - Used to validate the customer bill to entered on the
order.
BUYCLASS -
BUYCMPLOC -
BUYER -
BUYVENPF -
COMPONENT -
CUCONV - Used in converting monetary amounts between currencies.
CURELAT - Used in converting monetary amounts between currencies.
CXBURDEN -
CXCASEPREF -
CXPTMPITEM -
EEADVANCE -
EEEXPENSE -
FOBCODE -
FROPTIONS -
GLADDRESS - Used in the GL Company Edit routine.
GLCHART - Used in the GL account verification routine.
GLCODES - Used in the General Ledger account verification routine.
GLINTCO -
GLNAMES - Used in the GL account verification routine.
GLSYSTEM - Used in the General Ledger account verification routine.
HCCHRGITEM -
ICBIN -
ICCATEGORY - Used to validate inventory control general ledger categories.
ICCOUT -
ICFACILITY -
ICMFGCODE -
ICMFGDIST -
ICVALUOM -
INSTATPROC -
INSTCMDTY -
INSTCTRYCD -
INSTNOTC -
INSTPORTS -
INSTREGN -
ITEMADDON - Used to trigger automatic creation of add-on charges for
specific items when
sold in specified states (or all states). The add-on charge
is created at
the invoice line level.
ITEMGROUP -
ITEMMAST - Used to validate Inventory Control item numbers.
ITEMSRC -
ITEMSUB -
ITEMUPC -
KITITEM -
MAAOCDTL -
MACOMPANY -
MAELMGPREL -
MAELMVALUE -
MAINVDTL -
MAJORCL -
MAMATCHTBL -
MAMTCHELEM -
MAMTCHRULE -
MAPOINV -
MAREASONCD -
MATCHCLASS -
MFGSHPFAC -
MINORCL -
MSDSACK -
NATACCT - Used in the Accounts Receivable customer edit routine.
OEBASE - Used to validate the price base name.
OECOMPANY - Used to validate the Billing company.
OECOMPREF -
OECUST - Used in the Accounts Receivable customer edit routine.
OECUSTITEM -
OEDISCOUNT - Used to validate discount codes and provide discount
information for the pricing routine.
OEORDDISC -
OEPLCLASS - Used to store sales class pricing parameters for price list,
promotion, and contract.
OEPLITEM - Used to store item pricing parameters for price list,
promotion, and contract.
OEPRCLIST - Used to store default pricing parameters for price list,
promotion, and contract.
OEROUTE -
OESLSACCT - Used to obtain invoice line accounts for inventoried and
non-stock line
types.
OPERATOR -
PBBILL -
PBHSTHDR -
POAGMTPART -
POAUDRULES -
POAUDTYPE -
PODOCREF -
POITEMVEN -
PORECADJHD -
PORECADJLN -
POVENDLOC -
PROCTEMPLN -
PROCUREGRP -
REASON -
REQHEADER -
REQUESTER -
RQLOC -
STATICCUST - Used in the Accounts Receivable customer edit routine.
STCOMMCODE -
SYSTEMCODE -
TXTAXRATE - Used when calculating sales tax for an invoice line.
WFSETUP -
WHPROCTYPE -
WHSHIPLINE - Used to store shipline information including feedback
quantity.
WHSHIPMENT - Used to store shipment header information.
WHSHLAUD -
BL29.2 - Invoice Batch
**Form Purpose
Use Invoice Batch (BL29.2) to delete a batch of invoices. Remember that if
you delete an invoice batch, all invoices within the batch are deleted.
Updated Files
ACCOMMIT - Used in the Activity Management edit routines.
ACCOMMITX - Used in the Activity Management edit routines.
ADDRDATA -
ARCODE - Used to validate Accounts Receivable codes. If this is the
first time the Accounts Receivable code is
referenced, the used flag is set.
ARCUSTOMER - Used to validate the Accounts Receivable customer.
ARPROCLEVL - Used to validate the Accounts Receivable process level.
BLOEIUF -
BLOILUF -
CBBANKINST - Used to validate payment codes.
COCOMP -
COLINE - Used when creating invoice/invoice lines by copying a customer
order.
COLINEUOM - Used when creating invoice/invoice lines by copying a customer
order.
COMISC - Used when creating invoice/invoice lines by copying a customer
order.
COSGBLK -
CUSTDESC - Used to display Accounts Receivable customer information.
CUSTEP -
CUSTORDER - Used to validate customer orders.
CXCOMPANY -
CXCPIUAVAL -
CXITEMHIST -
CXPREFITEM -
EPBATCH -
EPTRANS -
EPTYPE -
GLCOMMIT -
GLCOMMITX -
HCPATCHRG -
HCPATVISIT -
HOLDCODES - Used to validate hold codes. If this is the first time the
hold code is
referenced, the used flag is set.
ICCOMPANY - Used to validate the Inventory Control company.
ICHISTORY -
ICLOCATION - Used to validate the Inventory Control location.
ICLOT -
ICRECEIPTS -
ICTRANS -
ICTRANSDTL -
INSTDETAIL -
INSTHEADER -
INSTNBR -
ITEMLOC - Used to validate the Inventory Control item location.
ITSERIAL -
MAPOOLCNT -
MMDIST -
MMUAVAL -
MXLISTHDR -
NATBALANCE - Used in the Accounts Receivable customer edit routine.
OEAUDIT -
OECOLUF -
OECORUF -
OECUSTCODE - Used to validate customer codes. If this is the first time
the customer code is
used, the used flag is set on.
OEFRTCODE - Used to validate freight codes.
OEINVCDTL - Used to store lot/serial information for an invoice line for
subsequent printing
on the invoice form.
OEINVCLINE - Used to store all information for an invoice line.
OEINVCMISC - Used to store all information for an add-on charge attached to
an invoice or
invoice line.
OEINVCTAX - Used to store tax amounts calculated when the invoice is
released.
OEINVCTYPE - Used to validate invoice types. If this is the first time the
invoice type is
referenced, the used flag is set.
OEINVCUOM - Used to store invoice line pricing information when the line
has been priced
via multiple units of measure.
OEINVHDR - Invoice Batch Header file. Created when an invoice is added,
if it does not
already exist. Batch totals are updated as invoices are added
for the batch.
OEINVOICE - Stores all information for an invoice.
OEINVSGBLK -
OEMETHOD -
OEMISC - Used to validate the Billing add-on charge code.
OEORDCMNT - Used when creating invoice/invoice lines by copying a customer
order.
OEPROCLEV - Used to validate the Billing process level.
OEREASON - Used to validate reason codes. If this is the first time the
reason code is
referenced, the used flag is set.
OESOURCE -
ORDERTYPE - Used to validate order types.
POAGMTPRIC -
POAOCDTL -
POAOCMAST -
POAOCSPRD -
POAUDIT -
POCODE -
POCOMPANY -
POHDROUT -
POHDRPVT -
POINTAOC -
POINTERFAC -
POLINE -
POLINEOUT -
POLINEPVT -
POLINESRC -
POMESSAGE -
POPCRUF -
POPLIUF -
PORECEIVE -
PORECLINE -
PORETURNHD -
PORETURNLN -
POREVISION -
POTRACK -
POTRANSDTL -
POVAGRMTHD -
POVAGRMTLN -
POVENDOR -
PURCHORDER -
RECAOCDTL -
REQLINE -
ROUTEDOC -
ROUTEHDR -
ROUTESTOP -
RQTRANS -
SALESREP - Used to validate sales representatives. If this is the first
time the sales representative is referenced, the used flag is
set.
SHIPTO - Used to validate ship-to numbers.
SOHDETAIL -
TERITORY - Used to validate territories. If this is the first time the
territory is
referenced, the used flag is set.
TERMS - Used to validate terms codes. If this is the first time the
terms code is
referenced, the used flag is set.
TXCODEMAST - Stores tax codes, descriptions, and tax types that define how
the tax code is used.
TXCOMPANY - Stores company information and which tax system the company
uses. Includes general ledger accounts if they are defined at
the company level.
TXTAXCODE - Used to validate tax codes.
TXTAXTABLE - Used in the tax code edit routine.
TXTAXTRAN -
WHDEMAND -
WHDEMNDHDR -
WORDER -
Referenced Files
ACACCTCAT - Used in the Activity Management edit routines.
ACACTGRP - Used in the Activity Management edit routines.
ACACTIVITY - Used to validate the Activity Management activity
code.
ACCATSUMX -
ACCUSTOMER -
AGINGCODE - Used in the Accounts Receivable customer edit routine.
AMASSET -
AMTEMPLATE -
APACCRCODE - Used in the vendor edit routine.
APAPIHIST -
APCOMPANY -
APHLDINV -
APINVOICE -
APPAYMENT -
APPROCLEV -
APUAVAL -
APVENADDR -
APVENGROUP -
ARADJUST - Used in the customer edit routine.
ARCOMP - Used to validate the Accounts Receivable company.
ARCUSTFLDS - Used in the Accounts Receivable customer edit and update
routines.
ARCUSTGRP - Used in the Accounts Receivable company edit routine.
ARCUSTTOTS - Used in the Accounts Receivable customer edit routine.
ARITRANS - Used in the customer edit routine.
ARLOCKBOX - Used in the Accounts Receivable customer edit routine.
AROIHDR - Used in the customer edit routine.
AROITEMS - Used in the customer edit routine.
ARPAYMENT - Used in the Accounts Receivable customer edit routine.
BILLTO - Used to validate the customer bill to entered on the
order.
BUYCLASS -
BUYCMPLOC -
BUYER -
BUYVENPF -
COMPONENT -
CUCONV - Used in converting monetary amounts between currencies.
CURELAT - Used in converting monetary amounts between currencies.
CXBURDEN -
CXCASEPREF -
CXPTMPITEM -
EEADVANCE -
EEEXPENSE -
FOBCODE -
FROPTIONS -
GLADDRESS - Used in the GL Company Edit routine.
GLCHART - Used in the GL account verification routine.
GLCODES - Used in the General Ledger account verification routine.
GLINTCO -
GLNAMES - Used in the GL account verification routine.
GLSYSTEM - Used in the General Ledger account verification routine.
HCCHRGITEM -
ICBIN -
ICCATEGORY - Used to validate inventory control general ledger categories.
ICCOUT -
ICFACILITY -
ICMFGCODE -
ICMFGDIST -
ICVALUOM -
INSTATPROC -
INSTCMDTY -
INSTCTRYCD -
INSTNOTC -
INSTPORTS -
INSTREGN -
ITEMADDON - Used to trigger automatic creation of add-on charges for
specific items when
sold in specified states (or all states). The add-on charge
is created at
the invoice line level.
ITEMGROUP -
ITEMMAST - Used to validate Inventory Control item numbers.
ITEMSRC -
ITEMSUB -
ITEMUPC -
KITITEM -
MAAOCDTL -
MACOMPANY -
MAELMGPREL -
MAELMVALUE -
MAINVDTL -
MAJORCL -
MAMATCHTBL -
MAMTCHELEM -
MAMTCHRULE -
MAPOINV -
MAREASONCD -
MATCHCLASS -
MFGSHPFAC -
MINORCL -
MSDSACK -
NATACCT - Used in the Accounts Receivable customer edit routine.
OEBASE - Used to validate the price base name.
OECOMPANY - Used to validate the Billing company.
OECOMPREF -
OECUST - Used in the Accounts Receivable customer edit routine.
OECUSTITEM -
OEDISCOUNT - Used to validate discount codes and provide discount
information for the pricing routine.
OEORDDISC -
OEPLCLASS - Used to store sales class pricing parameters for price list,
promotion, and contract.
OEPLITEM - Used to store item pricing parameters for price list,
promotion, and contract.
OEPRCLIST - Used to store default pricing parameters for price list,
promotion, and contract.
OEROUTE -
OESLSACCT - Used to obtain invoice line accounts for inventoried and
non-stock line
types.
OPERATOR -
PBBILL -
PBHSTHDR -
POAGMTPART -
POAUDRULES -
POAUDTYPE -
PODOCREF -
POITEMVEN -
PORECADJHD -
PORECADJLN -
POVENDLOC -
PROCTEMPLN -
PROCUREGRP -
REASON -
REQHEADER -
REQUESTER -
RQLOC -
STATICCUST - Used in the Accounts Receivable customer edit routine.
STCOMMCODE -
SYSTEMCODE -
TXTAXRATE - Used when calculating sales tax for an invoice line.
WFSETUP -
WHPROCTYPE -
WHSHIPLINE - Used to store shipline information including feedback
quantity.
WHSHIPMENT - Used to store shipment header information.
WHSHLAUD -
INVOKED Programs
ACAC
ACCL
ACTA
API4
IFAC
IFAU
IFCU
IFOB
IFSG
SLSE
SLSU
IFLU
ACSB
API3
BLI1
BLI2
BLI3
ICCP
ICI1
ICI4
IFRS
IFSC
POCP
POIF
POIH
POI6
POI4
POI7
POI9
POIA
POIL
POIX
POIG
POII
POIJ
POI1
POIM
SLSS
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