Parameter Name | Data Item | Data Type | Req/Opt | I/O/Both |
mnAddressNumber | AN8 | MATH_NUMERIC | OPT | NONE |
A number that identifies an entry in the Address Book system, such as employee, applicant, participant, customer, supplier, tenant, or
location.
|
szPayrollIDOW | PAYD | char | OPT | NONE |
A code that identifies a group of employees for whom you are processing payroll. Use this ID to process each step of the payroll
cycle.
This code is also used to identify the interim ID that you select when you enter interim payments. |
szTimecardCacheName | PID | char | OPT | NONE |
The number that identifies the batch or interactive program (batch or interactive object). For example, the number of the Sales Order Entry
interactive program is P4210, and the number of the Print Invoices batch process report is R42565.
The program ID is a variable length value.
It is assigned according to a structured syntax in the form TSSXXX, where:
T
The first character of the number is alphabetic and identifies the
type, such as P for Program, R for Report, and so on. For example, the value P in the number P4210 indicates that the object is a
program.
SS
The second and third characters of the number are numeric and identify the system code. For example, the value 42 in the number P4210
indicates that this program belongs to system 42, which is the Sales Order Processing system.
XXX
The remaining characters of the numer are
numeric and identify a unique program or report. For example, the value 10 in the number P4210 indicates that this is the Sales Order Entry
program.
|
jdPayrollBeginDt | EFTB | JDEDATE | OPT | NONE |
The date that an address, item, transaction, or table record becomes active. The meaning of this field differs, depending on the program.
For example, the effective date could represent the following:
o When a change of address becomes effective.
o When a lease becomes
effective.
o When a price becomes effective.
o When the currency exchange rate becomes effective.
o When a tax rate becomes effective.
|
jdPayrollEndDt | EFTE | JDEDATE | OPT | NONE |
The date on which the item, transaction, or table becomes inactive, or through which you want transactions to appear. This field is used
generically throughout the system. It could be a lease effective date, a price or cost effective date, a currency effective date, a tax rate effective
date, or whatever is appropriate.
|
mnCheckControlNumber | CKCN | MATH_NUMERIC | OPT | NONE |
A number used to group all payroll transactions for each payment or individual interim payment. This number is carried into the accounting
journal entries and facilitates the update of the actual check number after payment printing is complete. This number is also used for
automatically voiding payments. The payment work table contains both the actual check number and the check control number. All associated
payment transactions are automatically reversed using the check control number.
This is not the actual check number. |
mnPayrollTransactionNo | PRTR | MATH_NUMERIC | OPT | NONE |
A unique number that the system assigns to each timecard. You can use this field in the Time Entry By Job program to retrieve a specific
timecard for display. This field is also used to tie a timecard to each Actual Burden audit record created for the timecard during the Actual
Burden Journaling process. |
szBusinessUnitDBAAllocatio | MCUG | char | OPT | NONE |
This field will come from one of two sources:
1. Direct entry of a business unit on the One-Time-Override screen; or
2. When the system
automatically calculates a DBA based on finding an entry in the Union/Plan Master (F069106) specifically for the business unit matching one
or more time cards. Only in these two cases will the business unit be filled in in the F0609 and F0619 files. In all other cases it will be blank. |
mnWorkState | WST | MATH_NUMERIC | OPT | NONE |
Vertex state code identifying the state where the employee works. REQUIRED. |
mnWorkCounty | WCNT | MATH_NUMERIC | OPT | NONE |
Vertex county code identifying where the employee works. Zero fill if you do not need to calculate county taxes. |
mnWorkCity | WCTY | MATH_NUMERIC | OPT | NONE |
Vertex city code identifying the city where the employee works. Zero fill if you do not need to calculate city taxes. |
szUnionCode | UN | char | OPT | NONE |
A user defined code (06/UN) that represents the union or plan in which the employee or group of employees work or participate. |
szJobCategory | JBCD | char | OPT | NONE |
A user defined code (07/G) that defines the jobs within your organization. You can associate pay and benefit information with a job type and
apply that information to the employees who are linked to that job type. |
szJobStep | JBST | char | OPT | NONE |
A user defined code (07/GS) that designates a specific level within a particular job type. The system uses this code in conjunction with job
type to determine pay rates by job in the Pay Rates table. |
szWorkersCompInsurCode | WCMP | char | OPT | NONE |
A user defined code (00/W) that represents a workers' compensation insurance (WCI) code. This code should correspond to the
classifications on your periodic workers' compensation insurance reports. |
cFloatCode | WET | char | OPT | NONE |
A code that specifies any special circumstances associated with the workers compensation insurance (WCI) code, resulting in multiple
rates for the same WCI code due to location or risk, for example. The subclass should remain blank if multiple rates do not exist. Default codes
are:
Blank
There are no special circumstances associated with this code.
F
There are special circumstances associated with this code. |
szTaxIdentificationNo | TAXX | char | OPT | NONE |
A number that identifies your company to the tax authority. This number can include the tax ID number for an individual, a federal or state
corporate tax ID, a sales tax number, and so on.
This number has specifically been established for the Payroll system to handle the
requirements of taxing authorities that require more than 9 positions for the tax identification number.
Do not enter hyphens (dashes), slashes, spaces, or
other punctuation in the tax identification number. |
szGlBankAccount | GLBA | char | OPT | NONE |
The number of the bank account (general ledger account) to be updated automatically when receipts or disbursements are entered. The
bank account number is assumed to be the same for every document in a batch. Therefore, it is not cleared from entry to entry. However, if
you leave the bank account number blank, the system retrieves a default bank account number from the Automatic Accounting Instructions file
(F0012), item number RB for Accounts Receivable and PB for Accounts Payable. |
szCheckControlCacheName | PID | char | OPT | NONE |
The number that identifies the batch or interactive program (batch or interactive object). For example, the number of the Sales Order Entry
interactive program is P4210, and the number of the Print Invoices batch process report is R42565.
The program ID is a variable length value.
It is assigned according to a structured syntax in the form TSSXXX, where:
T
The first character of the number is alphabetic and identifies the
type, such as P for Program, R for Report, and so on. For example, the value P in the number P4210 indicates that the object is a
program.
SS
The second and third characters of the number are numeric and identify the system code. For example, the value 42 in the number P4210
indicates that this program belongs to system 42, which is the Sales Order Processing system.
XXX
The remaining characters of the numer are
numeric and identify a unique program or report. For example, the value 10 in the number P4210 indicates that this is the Sales Order Entry
program.
|
szCompanyHome | HMCO | char | OPT | NONE |
The company number where the employee records generally reside. |
cInterimCheckCode | ICC | char | OPT | NONE |
For OneWorld:
A code that indicates one of the following conditions:
Blank The payment was processed in a regular payroll cycle.
I
The payment was processed as an interim. Interim payments can include replacements for both regular voided payments and manually
voided payments.
X The payment is an original payment that has been voided.
For World:
An internal code that indicates one of the following
conditions:
o The time and pay record is for an interim payment.
o The record in the Payment table (F07350) is an interim payment.
o An
employee has an interim payment in the Payment table for the current pay period.
Valid codes are:
X The payment has been voided.
V
The payment is a void of a previously-entered payment.
I The payment was processed as an interim check.
Blank The payment was
processed in a regular payroll cycle. |
cInterimCheckStatus | ICS | char | OPT | NONE |
A code that indicates the type of payment that the system generated.
For OneWorld, valid codes are:
A Automatic deposit
C
Computer-generated payment
V Voided regular payment
M Manually-generated payment
Z Voided manual payment For World, valid codes are:
A
Automatic deposit
C Computer-generated payment
P Payslip (cash)
M Manually-generated payment
X Voided payment
If the code is M,
the Automatic Accounting Instruction (AAI) for the payroll manual check bank are used to generate the cash entry. If the code is C or blank,
the AAI for the normal payroll bank is used. |