D1702530 - F31171 Parts List Cache Processing
| Parameter Name | Data Item | Data Type | Req/Opt | I/O/Both | 
|---|---|---|---|---|
| mnJobnumber | JOBS | MATH_NUMERIC | OPT | NONE | 
The job number (work station ID) which executed the particular job.  | ||||
| cActionCode | ACTN | char | OPT | NONE | 
A code that specifies the action that is performed. Valid values are: A Add C Change  | ||||
| cErrorCode | ERRC | char | OPT | NONE | 
This error code indicates if any errors occurred during the creation of the Trip Document Detail (F4914) records by the Delivery Document 
  | ||||
| nNumOfKeys | INT01 | integer | OPT | NONE | 
Number of Days in Future to Query for Responses Due.  | ||||
| cSuppressErrorMessage | SUPPS | char | OPT | NONE | 
A flag indicating whether or not runtime error messaging will occur when an error message is issued from a business function.
       0 = allow 
  | ||||
| szErrorMessage | DTAI | char | OPT | NONE | 
A code that identifies and defines a unit of information. It is an alphanumeric code up to 8 characters long that does not allow blanks or 
  | ||||
| idCachePointer | GENLNG | ID | OPT | NONE | 
General purpose ID variable.  | ||||
| cReturnPointer | EV01 | char | OPT | NONE | 
An option that specifies the type of processing for an event.  | ||||
| mnOrderNumber | DOCO | MATH_NUMERIC | OPT | NONE | 
A number that identifies an original document. This document can be a voucher, a sales order, an invoice, unapplied cash, a journal entry, 
  | ||||
| nCacheRowNumber | INT01 | integer | OPT | NONE | 
Number of Days in Future to Query for Responses Due.  | ||||
| nLastRowUsed | INT02 | integer | OPT | NONE | 
Number of Days in the Past to Query for Quote Requests Received.  | ||||
| cPayPaymentInstrument | PYIN | char | OPT | NONE | 
A user defined code (00/PY) that determines the means by which a payment is issued to a supplier or received from the customer. 
  | ||||
| cBillPaymentInstrument | RYIN | char | OPT | NONE | 
The user defined code (00/PY) that specifies how payments are made by the customer. For example:
C
Check  
D
Draft  
T
Electronic funds 
  | ||||
| szCountry | CTR | char | OPT | NONE | 
A user defined code (00/CN) that identifies a country. The country code has no effect on currency conversion.
The Address Book system 
  | ||||
| szBillPaymentTermsCode | PTC | char | OPT | NONE | 
A code that specifies the terms of payment, including the percentage of discount available if the invoice is paid by the discount due date. 
  | ||||
| szPayPaymentTerms | TRAP | char | OPT | NONE | 
A code that indicates the default payment terms for a supplier. Payment terms determine the due date, discount amount, and discount due 
  | ||||
| szBillSoldToCustomerGroup | CGPC | char | OPT | NONE | 
| szPaySoldToCustomerGroup | CPGP | char | OPT | NONE | 
A user defined code (40/PC) that identifies a customer group. You can group customers with similar characteristics, such as comparable 
  | ||||
| szBillShipToCustomerGroup | CGPC | char | OPT | NONE | 
| szPayShipToCustomerGroup | CPGP | char | OPT | NONE | 
A user defined code (40/PC) that identifies a customer group. You can group customers with similar characteristics, such as comparable 
  | ||||
| mnCSMSOrderNumber | DOCO | MATH_NUMERIC | OPT | NONE | 
A number that identifies an original document. This document can be a voucher, a sales order, an invoice, unapplied cash, a journal entry, 
  | ||||
| szCSMSOrderType | DCTO | char | OPT | NONE | 
A user defined code (00/DT) that identifies the type of document. This code also indicates the origin of the transaction. J.D. Edwards has 
  | ||||
| szCSMSOrderCompany | KCOO | char | OPT | NONE | 
A number that, along with order number and order type, uniquely identifies an order document (such as a purchase order, a contract, a 
  | ||||
| mnCSMSOrderLineNumber | LNID | MATH_NUMERIC | OPT | NONE | 
A number that identifies multiple occurrences, such as line numbers on a purchase order or other document. Generally, the system assigns 
  | ||||
| mnCSMSJobNumber | JOBS | MATH_NUMERIC | OPT | NONE | 
The job number (work station ID) which executed the particular job.  | ||||
| mnEstUnitCost | ESUNC | MATH_NUMERIC | OPT | NONE | 
Estimated unit cost associated with a transaction.  | ||||
| mnActUnitCost | ACUNC | MATH_NUMERIC | OPT | NONE | 
The actual unit cost associated with a transaction.  | ||||
| mnAmountOriginal | AMTO | MATH_NUMERIC | OPT | NONE | 
The estimated monetary amount that is budgeted for this work order.  | ||||
| mnAmountActual | AMTA | MATH_NUMERIC | OPT | NONE | 
The actual dollars accumulated for the work order.  | ||||
| mnClaimAmount | CLAMT | MATH_NUMERIC | OPT | NONE | 
The amount requested for providing a service.  | ||||
| mnEstUnitBill | ESUNB | MATH_NUMERIC | OPT | NONE | 
The estimated unit cost for billing.  | ||||
| mnEstBillAmount | EBILL | MATH_NUMERIC | OPT | NONE | 
| mnActUnitBill | ACUNB | MATH_NUMERIC | OPT | NONE | 
The actual unit billable amount.  | ||||
| mnActBillAmount | TOTB | MATH_NUMERIC | OPT | NONE | 
The total amount billed through this application number.  | ||||
| mnEstUnitPay | ESUNP | MATH_NUMERIC | OPT | NONE | 
The estimated unit cost of the payable.  | ||||
| mnEstPaymntAmount | EPAAP | MATH_NUMERIC | OPT | NONE | 
This is the estimated payment amount used in service billing.  | ||||
| mnActUnitPayable | ACUNP | MATH_NUMERIC | OPT | NONE | 
The actual unit payable amount.  | ||||
| mnPaymntAmount | PAAP | MATH_NUMERIC | OPT | NONE | 
In the Accounts Payable system, the amount of the payment.
In the Accounts Receivable system, the amount of the receipt. This amount 
  | ||||
| mnPrimaryLastVendorNo | VEND | MATH_NUMERIC | OPT | NONE | 
The address book number of the preferred provider of this item.  | ||||
| cPayableYN | PAYAB | char | OPT | NONE | 
This field specifies whether a general ledger account should be paid. Valid values are:
   Y The account should be paid.
   N The account 
  | ||||
| cBillableYN | BILL | char | OPT | NONE | 
Specifies whether a general ledger account should be billed. Valid codes are:
   Y Yes, the account should be billed.
   N No, it should not be 
  | ||||
| jdDatePaid | DTPAY | JDEDATE | OPT | NONE | 
The date a service provider was paid for a service.  | ||||
| jdDateBilled | DTBIL | JDEDATE | OPT | NONE | 
In service billing, the date a customer was billed for a service.  | ||||
| szCostType | COST | char | OPT | NONE | 
A code that designates each element of cost for an item. Examples of the cost object types are:
  o  A1  Purchased raw material
  o  B1  
  | ||||
| szGLCategoryCovered | GLCCV | char | OPT | NONE | 
A user defined code (41/9) that identifies the G/L Offset to use when the system is searching for the account to which it will post the covered 
  | ||||
| szGLCategoryNonCovered | GLCNC | char | OPT | NONE | 
A user defined code (41/9) that identifies the G/L Offset to use when the system is searching for the account to which it will post the 
  | ||||
| szEntitlementCheck | ENTCK | char | OPT | NONE | 
A user defined code (17/ER) to indicate the results of an entitlement check.
Valid values are:
   0   Not entitled
   1   Transaction entitled
   2   
  | ||||
| szVendorReference | VR02 | char | OPT | NONE | 
A field available to record reference numbers, such as the supplier's bid document number, quote document, sales order, work order, or 
  | ||||
| szPayAdjustSchedule | ASN4 | char | OPT | NONE | 
A user defined code (40/AS) identifying a price and adjustment schedule. A price and adjustment schedule contains one or more 
  | ||||
| szBillAdjustSchedule | ASN2 | char | OPT | NONE | 
This user defined code (40/AS) identifies a price and adjustment schedule. A price and adjustment schedule contains one or more 
  | ||||
| cMethodofPricing | MTHPR | char | OPT | NONE | 
A code used to determine if this type of service should be priced based on a flat rate or based on actual time and materials.
Valid values 
  | ||||
| mnPercentCovered | PCOVR | MATH_NUMERIC | OPT | NONE | 
The percentage covered under warranty or contract. This is used to calculate the amount to bill or the amount to cost for the line item being 
  | ||||
| mnSiteNumber | SAID | MATH_NUMERIC | OPT | NONE | 
A unique numeric identifier for a physical location at which utility service is delivered.  A service address often corresponds to a parcel of 
  | ||||
| szProductFamily | PRODF | char | OPT | NONE | 
A code that classifies an inventory item into a group for customer service. Some examples include: Laser Printer, Inkjet, or Fax.  | ||||
| szProductModel | PRODM | char | OPT | NONE | 
A code that classifies an inventory item into a model for customer service. Some examples include: Laser Printer, Inkjet or Fax.  | ||||
| szCoverageGroup | COVGR | char | OPT | NONE | 
A user defined code that specifies the Coverage Group. The Coverage Group consists of unlimited cost codes and the percentage 
  | ||||
| cPayPricingMethod | PMTHP | char | OPT | NONE | 
A code used to determine if this type of service should be priced based on a flat rate or based on actual time and materials.
Valid values 
  | ||||
| cPayServProviderForParts | PYPRT | char | OPT | NONE | 
A code to indicate if the service provider should be paid for parts used during a repair.
Valid values are:
       Y or 1 - Pay the service provider 
  | ||||
| szDomesticCurrency | CRDC | char | OPT | NONE | 
A code that identifies the domestic (base) currency of the company on a transaction.  | ||||
| szBillableCurrency | BCRCD | char | OPT | NONE | 
The currency for the billable amounts of a service order.  | ||||
| mnBillableExchangeRate | BCRR | MATH_NUMERIC | OPT | NONE | 
The rate that the system uses to convert foreign currency amounts to domestic currency amounts. The system uses this rate specifically for 
  | ||||
| cBillableCurrencyMode | BCRRM | char | OPT | NONE | 
A code that specifies whether the system uses the foreign currency (currency of the customer) or the domestic currency for billable 
  | ||||
| mnForeignEstUnitBill | FESUNB | MATH_NUMERIC | OPT | NONE | 
The estimated unit rate that is billable in the currency of the customer.  | ||||
| mnForeignEstBillAmount | FEBILL | MATH_NUMERIC | OPT | NONE | 
The estimated billable amount in the currency of the customer.  | ||||
| mnForeignActualBillUnit | FACUNB | MATH_NUMERIC | OPT | NONE | 
The actual unit rate that is billable in the currency of the customer.  | ||||
| mnForeignActualBillAmount | FTOTB | MATH_NUMERIC | OPT | NONE | 
The actual amount that is billable in the currency of the customer.  | ||||
| szPayableCurrency | PCRCD | char | OPT | NONE | 
A code that indicates the currency of the payable amounts on a work order or claim.  | ||||
| mnPayableExchangeRate | PCRR | MATH_NUMERIC | OPT | NONE | 
The rate that the system uses to convert foreign currency amounts to domestic currency amounts. The system uses this rate specifically for 
  | ||||
| cPayableCurrencyMode | PCRRM | char | OPT | NONE | 
A code that specifies whether payable amounts are in the foreign currency (currency of the service provider) or in the domestic currency. 
  | ||||
| mnForeignEstPayUnit | FESUNP | MATH_NUMERIC | OPT | NONE | 
The estimated unit rate that is payable in the currency of the service provider.  | ||||
| mnForeignEstPayAmount | FEPAAP | MATH_NUMERIC | OPT | NONE | 
The estimated payable amount in the currency of the service provider.  | ||||
| mnForeignActualPayUnit | FACUNP | MATH_NUMERIC | OPT | NONE | 
The actual unit rate that is payable in the currency of the service provider.  | ||||
| mnForeignActualPayAmount | FPAAP | MATH_NUMERIC | OPT | NONE | 
The actual payable amount that is recorded in the foreign currency of the service provider.  | ||||
| szDefectCode | FAILCD | char | OPT | NONE | 
A user defined code (17/FC) that indicates the type of defect.  | ||||
| cReturnPolicy | RETPOL | char | OPT | NONE | 
A user defined code (17/RT) that specifies whether to return the part with the claim.  | ||||
| jdDateSubmitted | DTSUB | JDEDATE | OPT | NONE | 
The date that a supplier recovery claim was submitted to the interoperability tables for Warranty Claim/Supplier Recovery 
  | ||||
| mnTimeSubmitted | TMSUB | MATH_NUMERIC | OPT | NONE | 
The time that a supplier recovery claim was submitted to the interoperability tables.  | ||||
| mnCausalPart | CSLPRT | MATH_NUMERIC | OPT | NONE | 
The item number that indicates which part failed and caused the equipment failure.  | ||||
| szCausalBranch | MCUCSL | char | OPT | NONE | 
The business unit that is related to the causal portion of the claim.  | ||||
| szVendorLotNumber | RLOT | char | OPT | NONE | 
The supplier's lot number for the item.  | ||||
| szCompCodeGroupSystem | VMRS31 | char | OPT | NONE | 
A user defined code (17/C6) that indicates a specific system, such as the air conditioning system, that is associated with a piece of 
  | ||||
| szCompCodeSystemAssembly | VMRS32 | char | OPT | NONE | 
A user defined code (17/C7) that indicates the location of a specific assembly, such as the air conditioning compressor, within a piece of 
  | ||||
| szCompCodeSystemAssemblyParts | VMRS33 | char | OPT | NONE | 
A user defined code (17/C8) that indicates the location of a specific part, such as the fuse to the air conditioning compressor clutch,  within a 
  | ||||
| mnSRVendor | SRVEND | MATH_NUMERIC | OPT | NONE | 
The address book number of the vendor to be used for supplier recovery.  | ||||
| cTaxableYN | TAX1 | char | OPT | NONE | 
A code that indicates whether the item is subject to sales tax when you sell it. The system calculates tax on the item only if the customer is 
  | ||||
| mnUniqueKeyPricing | UKIDP | MATH_NUMERIC | OPT | NONE | 
| mnUniqueKeyID | UKID | MATH_NUMERIC | OPT | NONE | 
This field is a unique number used to identify a record in a file.  | ||||
| szGenericStringForFuture | A202 | char | OPT | NONE | 
| szGenericStringForFuture2 | A203 | char | OPT | NONE | 
| mnMathNumericForFuture | MATH01 | MATH_NUMERIC | OPT | NONE | 
- - - Good Performance Low Value.  | ||||
| mnMathNumericForFuture2 | MATH01 | MATH_NUMERIC | OPT | NONE | 
- - - Good Performance Low Value.  | ||||
| nIntegerForFuture1 | INT01 | integer | OPT | NONE | 
Number of Days in Future to Query for Responses Due.  | ||||
| nIntegerForFuture2 | INT01 | integer | OPT | NONE | 
Number of Days in Future to Query for Responses Due.  | ||||
| cCharacterForFuture | ANY | char | OPT | NONE | 
P1 use this for text that describes the processing option. You can add more text to describe the processing option in the component. Here 
  | ||||
| cCharacterForFuture2 | ANY | char | OPT | NONE | 
P1 use this for text that describes the processing option. You can add more text to describe the processing option in the component. Here 
  | ||||
| jdDateForFuture | DATE01 | JDEDATE | OPT | NONE | 
Event point for JDE Date.  | ||||
| jdDateForFuture2 | DATE01 | JDEDATE | OPT | NONE | 
Event point for JDE Date.  | ||||
| mnEstPayAdjRevisionLevel_AREV | AREV | MATH_NUMERIC | OPT | NONE | 
Get the Use Base Price constant from the SWM constants (F17001) and put it here.
  | ||||
| mnActPayAdjRevisionLevel_AREV | AREV | MATH_NUMERIC | OPT | NONE | 
This field maintains the current revision level of Advanced Pricing adjustments awarded within a sales order. Adjustments associated with 
  | ||||
| mnEstBillAdjRevisionLevel_AREV | AREV | MATH_NUMERIC | OPT | NONE | 
This field maintains the current revision level of Advanced Pricing adjustments awarded within a sales order. Adjustments associated with 
  | ||||
| mnActBillAdjRevisionLevel_AREV | AREV | MATH_NUMERIC | OPT | NONE | 
This field maintains the current revision level of Advanced Pricing adjustments awarded within a sales order. Adjustments associated with 
  | ||||
| cAdvanceRevisionLevel_EV01 | EV01 | char | OPT | NONE | 
An option that specifies the type of processing for an event.  | ||||
| cUseBasePriceConstant_EV01 | EV01 | char | OPT | NONE | 
An option that specifies the type of processing for an event.  | ||||
| cPayCurrConversionMeth_CRCM | CRCM | char | OPT | NONE | 
A value that specifies which method to use when converting from one currency to another. Valid values are: 
Y 
Multiplier method. The 
  | ||||
| cBillCurrConversionMeth_CRCM | CRCM | char | OPT | NONE | 
A value that specifies which method to use when converting from one currency to another. Valid values are: 
Y 
Multiplier method. The 
  | ||||
| mnProcessID_PEID | PEID | MATH_NUMERIC | OPT | NONE | 
A code that identifies the Inter-Process Communication ID.  | ||||
| mnTransactionID_TCID | TCID | MATH_NUMERIC | OPT | NONE | 
| None | 
| None |