APAutoPaymentsUpdateDriver

Update Automatic Payments

Minor Business Rule

Object Name: B0400394

Parent DLL: CFIN

Location: Client/Server

Language: C

Data Structure

D0400394 - A/P Auto Payments - Update Driver

Parameter NameData ItemData TypeReq/OptI/O/Both
mnApcheckPrintSelectionPSELMATH_NUMERICNONENONE

This is a next number used to identify payments to be printed or updated.

szVersionVERScharNONENONE

A user-defined set of specifications that control how applications and reports run. You use versions to group and save a set of user-defined 
processing option values and data selection and sequencing options. Interactive versions are associated with applications (usually as a 
menu selection). Batch versions are associated with batch jobs or reports. To run a batch process, you must choose a version.

cProcessVoidRecordsEV01charNONENONE

An option that specifies the type of processing for an event.

mnBatchnumberICUMATH_NUMERICNONENONE

A number that identifies a group of transactions that the system processes and balances as a unit. When you enter a batch, you can either 
assign a batch number or let the system assign it using the Next Numbers program.

szBatchtypeICUTcharNONENONE

A code that specifies the system and type of transactions entered in a batch. The system assigns the value when you enter a transaction. 
Valid values are set up in user defined code table 98/IT. You cannot assign new values. All batch types are hard coded.

jdDatebatchjulianDICJJDEDATENONENONE

The date of the batch. If you leave this field blank, the system date is used.

cUpdateSuccessfullEV02charNONENONE

An option that specifies the type of processing for an event.

szAppaymentprocessPGMRcharNONENONE

A user defined program used to print the A/P payment register. Only programs set up in user defined codes for 04/PR may be entered.

cUseVoucherRateEV01charOPTINPUT

An option that specifies the type of processing for an event.

jdDateEffectiveEFTJJDEDATEOPTINPUT

The date when a transaction, contract, obligation, preference, or policy rule becomes effective.

mnStdGainLossAmtPAAPMATH_NUMERICOPTOUTPUT

In the Accounts Payable system, the amount of the payment. In the Accounts Receivable system, the amount of the receipt. This amount 
must balance to the total amount applied to the invoice pay items.

szTypeTransactionTYTNcharOPTNONE

The qualifier used to identify a specific type of transaction.

Related Functions

B0000007 Batch - Revise On Transaction Commitment
B0000009 Get Next Journal Entry Line Number
B0000033 Get Exchange Rate
B0000055 ValidateAAICompletely
B0000083 Convert Math Numeric to String with Left Zero Pad
B0000128 Retrieve Company Currency Code
B0400009 Get Account Company
B0400051 Payable Gain/Loss
B0400076 Update Voucher Record With Payment Information
B0400093 Create A/P Drafts
B0400205 A/P Payments - Undo Voucher
B9800100 Get Audit Information
N7000260 B0400394 - Plug & Play - 04
N7400570 Undo Withholding Tax from F0411 - Italy - 04
X04131 Retrieve Next Payment Id
X0903 Fiscal Date Edits +
XX0901 Validate Account Number

Related Tables

F0401 Supplier Master
F0411 Accounts Payable Ledger
F0413 Accounts Payable - Matching Document
F0414 Accounts Payable Matching Document Detail
F04571 A/P Payment Processing - Header
F04572 A/P Payment Processing - Summary
F04573 A/P Payment Processing - Detail
F0911 Account Ledger
F983051 Versions List
APAutoPymntsUpdatePayments

APAutoPymntsUpdatePayments

Update Automatic Payments

Minor Business Rule

Object Name: B0400394

Parent DLL: CFIN

Location: Client/Server

Language: C

Data Structure

D0400394A - A/P Auto Payments - Update Payment Records

Parameter NameData ItemData TypeReq/OptI/O/Both
mnPaymentgroupcontrolnbrHDCMATH_NUMERICNONENONE

The Payment Control Group Number is used to group all payments and payment detail together in the A/P payments work files.  This 
number identifies a group of payments run for the same bank account, payment instrument, DREAM Writer version, Originator ID and currency.

mnCkcontrolnoapchCKCMATH_NUMERICNONENONE

The Check Control Number is used to group all A/P payment transactions for each individual check.

mnBatchnumberICUMATH_NUMERICNONENONE

A number that identifies a group of transactions that the system processes and balances as a unit. When you enter a batch, you can either 
assign a batch number or let the system assign it using the Next Numbers program.

szBatchtypeICUTcharNONENONE

A code that specifies the system and type of transactions entered in a batch. The system assigns the value when you enter a transaction. 
Valid values are set up in user defined code table 98/IT. You cannot assign new values. All batch types are hard coded.

jdDatebatchjulianDICJJDEDATENONENONE

The date of the batch. If you leave this field blank, the system date is used.

cUpdateSuccessfullEV01charNONENONE

An option that specifies the type of processing for an event.

cProcessVoidsEV02charNONENONE

An option that specifies the type of processing for an event.

cUseVoucherRateEV01charOPTINPUT

An option that specifies the type of processing for an event.

jdDateEffectiveJulian1EFTJJDEDATEOPTINPUT

The date when a transaction, contract, obligation, preference, or policy rule becomes effective.

jdDateForGLDGJJDEDATEOPTINPUT

A date that identifies the financial period to which the transaction will be posted. You define financial periods for a date pattern code that you 
assign to the company record. The system compares the date that you enter on the transaction to the fiscal date pattern assigned to the 
company to retrieve the appropriate fiscal period number, as well as to perform date validations.

mnStdGainLoss_SavPAAPMATH_NUMERICOPTBOTH

In the Accounts Payable system, the amount of the payment. In the Accounts Receivable system, the amount of the receipt. This amount 
must balance to the total amount applied to the invoice pay items.

szTypeTransactionTYTNcharOPTNONE

The qualifier used to identify a specific type of transaction.

Related Functions

B0000007 Batch - Revise On Transaction Commitment
B0000009 Get Next Journal Entry Line Number
B0000033 Get Exchange Rate
B0000055 ValidateAAICompletely
B0000083 Convert Math Numeric to String with Left Zero Pad
B0000128 Retrieve Company Currency Code
B0400009 Get Account Company
B0400051 Payable Gain/Loss
B0400076 Update Voucher Record With Payment Information
B0400093 Create A/P Drafts
B0400205 A/P Payments - Undo Voucher
B9800100 Get Audit Information
N7000260 B0400394 - Plug & Play - 04
N7400570 Undo Withholding Tax from F0411 - Italy - 04
X04131 Retrieve Next Payment Id
X0903 Fiscal Date Edits +
XX0901 Validate Account Number

Related Tables

F0401 Supplier Master
F0411 Accounts Payable Ledger
F0413 Accounts Payable - Matching Document
F0414 Accounts Payable Matching Document Detail
F04571 A/P Payment Processing - Header
F04572 A/P Payment Processing - Summary
F04573 A/P Payment Processing - Detail
F0911 Account Ledger
F983051 Versions List