Parameter Name | Data Item | Data Type | Req/Opt | I/O/Both |
szComputerID | CTID | char | OPT | NONE |
|
mnJobnumber | JOBS | MATH_NUMERIC | OPT | NONE |
The job number (work station ID) which executed the particular job. |
mnProcessID | PEID | MATH_NUMERIC | OPT | NONE |
A code that identifies the Inter-Process Communication ID. |
mnTransactionID | TCID | MATH_NUMERIC | OPT | NONE |
|
mnDocumentOrderInvoiceE | 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,
and so on. |
szOrderType | 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
reserved document type codes for vouchers, invoices, receipts, and time sheets, which create automatic offset entries during the post
program. (These entries are not self-balancing when you originally enter them.)
The following document types are defined by J.D. Edwards and
should not be changed:
P
Accounts Payable documents
R
Accounts Receivable documents
T
Payroll documents
I
Inventory documents
O
Purchase Order Processing documents
J
General Accounting/Joint Interest Billing documents
S
Sales Order Processing documents
|
szCompanyKeyOrderNo | 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
sales order, and so on).
If you use the Next Numbers by Company/Fiscal Year facility, the Automatic Next Numbers program (X0010) uses the
order company to retrieve the correct next number for that company. If two or more order documents have the same order number and order
type, the order company lets you locate the desired document.
If you use the regular Next Numbers facility, the order company is not used to
assign a next number. In this case, you probably would not use the order company to locate the document. |
mnLineNumber | 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
this number,but in some cases you can override it. |
szOrderSuffix | SFXO | char | OPT | NONE |
In the A/R and A/P systems, a code that corresponds to the pay item. In the Sales Order and Procurement systems, this code identifies
multiple transactions for an original order.
For purchase orders, the code is always 000.
For sales orders with multiple partial receipts against an
order, the first receiver used to record receipt has a suffix of 000, the next has a suffix of 001, the next 002, and so on. |
cOrderRepricedIndicator | ORP | char | OPT | NONE |
(Future Use) (internal use) Indicates whether this order line has been processed by the Order Repricing facility. This is used to prevent a
specific order line from being processed multiple times in error. |
cUpdatetoDetailWF | EV01 | char | OPT | NONE |
An option that specifies the type of processing for an event.
|
mnF42UI11WFLineNo | LNIX | MATH_NUMERIC | OPT | NONE |
|
szGroupCustomerPriceGp | 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
pricing. |
jdDatePriceEffectiveDate | PEFJ | JDEDATE | OPT | NONE |
The system uses the Price Effective Date to determine the base price and all advanced price adjustments. The value loaded in this date
is stored in the System Constants File (F4009). |
cCallingObject | EV01 | char | OPT | NONE |
An option that specifies the type of processing for an event.
|
cAdjustmentRetrievalMethod | AJRM | char | OPT | NONE |
A code, used in Direct Price Adjustments, that specifies how the pricing calculation program selects the price adjustments. Valid values
are:
Blank
Select a named price adjustment schedule. This is the default.
1
Select the pricing address number.
2
Select both a schedule and the
address number.
|
szPriceAdjustmentSchedule | ASN | char | OPT | NONE |
A user defined code (40/AS) that identifies a price and adjustment schedule. A price and adjustment schedule contains one or more
adjustment types for which a customer or an item might be eligible. The system applies the adjustments in the sequence that you specify in the
schedule. You link customers to a price and adjustment schedule through the customer billing instructions. When you enter a sales order, the
system copies the schedule attached to the sold to address into the order header. You can override this schedule at the detail line level.
For
Agreement Management, this is the Agreement Penalty Schedule. The information in the Agreement Penalty Schedule provides the system
with the criteria for an agreement to have penalty conditions. |
szScheduleToProcess | ASN | char | OPT | NONE |
A user defined code (40/AS) that identifies a price and adjustment schedule. A price and adjustment schedule contains one or more
adjustment types for which a customer or an item might be eligible. The system applies the adjustments in the sequence that you specify in the
schedule. You link customers to a price and adjustment schedule through the customer billing instructions. When you enter a sales order, the
system copies the schedule attached to the sold to address into the order header. You can override this schedule at the detail line level.
For
Agreement Management, this is the Agreement Penalty Schedule. The information in the Agreement Penalty Schedule provides the system
with the criteria for an agreement to have penalty conditions. |
szPreferenceSchedulePO | ASN | char | OPT | NONE |
A user defined code (40/AS) that identifies a price and adjustment schedule. A price and adjustment schedule contains one or more
adjustment types for which a customer or an item might be eligible. The system applies the adjustments in the sequence that you specify in the
schedule. You link customers to a price and adjustment schedule through the customer billing instructions. When you enter a sales order, the
system copies the schedule attached to the sold to address into the order header. You can override this schedule at the detail line level.
For
Agreement Management, this is the Agreement Penalty Schedule. The information in the Agreement Penalty Schedule provides the system
with the criteria for an agreement to have penalty conditions. |
szDistConstantsPrefSch | ASN | char | OPT | NONE |
A user defined code (40/AS) that identifies a price and adjustment schedule. A price and adjustment schedule contains one or more
adjustment types for which a customer or an item might be eligible. The system applies the adjustments in the sequence that you specify in the
schedule. You link customers to a price and adjustment schedule through the customer billing instructions. When you enter a sales order, the
system copies the schedule attached to the sold to address into the order header. You can override this schedule at the detail line level.
For
Agreement Management, this is the Agreement Penalty Schedule. The information in the Agreement Penalty Schedule provides the system
with the criteria for an agreement to have penalty conditions. |
cLoopMode | EV01 | char | OPT | NONE |
An option that specifies the type of processing for an event.
|
szRepriceBasketPriceCat | RPRC | char | OPT | NONE |
You can assign items with common repricing characteristics to a reprice category on Item Branch/Plant Revisions. You can define different
categories based on location. Repricing is a technique that the system uses to:
o Accumulate items on order that belong to a common
repricing category during a batch program
o Compare the aggregate quantities of items on order to the appropriate quantity breaks in the
reprice category
If the items qualify for an additional discount, that discount is reflected as a change in unit and extended price for each
qualifying item in the original order line. |
szOrderRepriceCategory | ORPR | char | OPT | NONE |
Items with common order repricing characteristics are assigned to an order reprice category on the Item Master Revisions screen.
Categories can be varied at the Location level (fold area). Order repricing is a technique in which items within an order that belong to the same
repricing category are accumulated during a batch program and their aggregate quantities are compared to the appropriate quantity "breaks" in
the reprice category. Typical quantity breaks in this situation might be the total weight or the total dollar value of the order as whole. If the
items qualify for additional discount, that discount is reflected as a flat dollar amount in a new discount line. This facility supplements the repricing
function and operates in the same batch program. |
mnCurrencyConverRateOv | CRR | MATH_NUMERIC | OPT | NONE |
A number (exchange rate) that a foreign currency amount is multiplied by to calculate a domestic currency amount.
The number in this field
can have a maximum of seven decimal positions. If more are entered, the system adjusts to the nearest seven decimal positions.
|
mnAmountOpen1 | AOPN | MATH_NUMERIC | OPT | NONE |
The amount of the order, invoice, or voucher that is still unpaid or open.
When you enter a document (for example, an order, invoice, or
voucher), the open amount is the original amount of that document. If you change the original amount, the open amount is reduced by the net
change. For example,payments, shipments, or receipts against a document result in a reduction of the open balance. |
mnDiscountCash | CADC | MATH_NUMERIC | OPT | NONE |
A discount which is passed forward from the manufacturer or mill to the customer based upon the payment terms of the supplier. Enter 10
percent as 10.00. |
mnDaysPastExpiration | EXDP | MATH_NUMERIC | OPT | NONE |
The number of days allowed before expiration for an item where it still can be used or sold to a specific customer. When negative, this
number indicates the number of days after expiration for an item where it still can be used or sold to a specific customer.
For example, if the
expiration date for item 1001 is 06/01/98:
o A value of 15 in Days Before Expiration means that this specific customer only accepts this item up to
05/15/98.
o A value of -15 in Days Before Expiration means that this specific customer accepts this item up to 06/15/98. |
mnFromPotency | FRMP | MATH_NUMERIC | OPT | NONE |
A number that indicates the minimum potency or percentage of active ingredients acceptable for an item.
The system displays a warning
message if you try to purchase or issue items that do not meet the minimum acceptable potency. The system does not allow you to sell items
that do not meet the minimum acceptable potency. |
mnGrossWeight | GRWT | MATH_NUMERIC | OPT | NONE |
Essentially a memo field at present, this value is intended to reflect the fact that many inventory items are always packaged in the same
way for shipment to the customer. This packaging in turn effectively adds to the shipment weight for the item. Since much of the mainstream
freight calculations depend upon a weight basis for their accuracy, the ability to store a gross weight which reflects the estimated additional
weight of standard packaging was deemed to be a worthwhile enhancement. (Future Use) |
mnUnitsQuantityFuture | SONE | MATH_NUMERIC | OPT | NONE |
The number of inventory units tentatively committed to this order line. Such tentative commitment may occur through the use of Blanket
Orders, where you have agreed to sell a specified quantity of an item but the delivery date or dates are unknown at the time of the order. The
contents of this field will typically have an impact, not on the Committed or On Sales Order fields shown on various screens, but more likely on
such fields as Quantity 1 or Quantity 2 as shown on the Availability screen (exit from Branch Inventory). |
mnExtendedCostTransfer | TCST | MATH_NUMERIC | OPT | NONE |
This is the cost of transferring inventory from one branch to another. The method of calculating this transfer cost is maintained in the Inter
Branch Sales Markup Revisions (P3403). |
mnThruPotency | THRP | MATH_NUMERIC | OPT | NONE |
A number that indicates the maximum potency or percentage of active ingredients that is acceptable for an item.
The system displays a
warning message if you try to purchase or issue items that have a potency that exceeds the maximum potency acceptable. The system does
not allow you to sell items that have a potency that exceeds the maximum potency acceptable. |
mnDiscountTrade | TRDC | MATH_NUMERIC | OPT | NONE |
Percentage by which the system reduces the price of each item. This is the only discount that will be applied. You can override it if you
enter a price.
Enter the percentage as a whole number (that is, 5 for 5%). |
mnUnitsOpenQuantity | UOPN | MATH_NUMERIC | OPT | NONE |
The original quantity for the order detail line, plus or minus any changes to that quantity, minus all quantities shipped, received, and
vouchered to date. |
mnUnitsPrimaryQtyOrder | PQOR | MATH_NUMERIC | OPT | NONE |
The quantity ordered by the customer expressed in the primary stocking unit of measure. |
mnQuantityRelieved | QRLV | MATH_NUMERIC | OPT | NONE |
Unit relieved (future use). |
mnQuantityShippedToDate | QTYT | MATH_NUMERIC | OPT | NONE |
The number of units which have passed through the Sales Update process. In Workorder Processing, this field identifies the total quantity
completed or consumed on a workorder to date basis. |
szContractNumberDistributi | DMCT | char | OPT | NONE |
A unique number your company assigns to identify a particular agreement. You might want to assign some significance to the agreement
number (for example,an agreement type code, location, year, and so forth). An agreement might have multiple supplements to record
addendum or changes, for example. |
szDutyStatus | DTYS | char | OPT | NONE |
A user defined code (system 40, type DS) identifying the duty status of an order line. You should only specify this value for duty reporting.
The system supplies a default value based on the End Use preference. You can override this value at order entry. |
szCostCenterHeader | EMCU | char | OPT | NONE |
A business unit is an accounting entity required for management reporting. It can be a profit center, department, warehouse location, job,
project, work center, branch/plant, and so forth.
This business unit is from the business unit entered on the header of a sales/purchase order for
reporting purposes.
This data is always right justified on entry (for example, CO123 would appear as _______CO123). A security mechanism
has been provided to inhibit users from entering or locating business units outside the scope of their authority. |
szEndUse | EUSE | char | OPT | NONE |
User defined code (system 40, type EU) identifying the end use of an order line and used for duty reporting only. The system supplies a
default value based on the End Use preference. You may override this value at order entry. |
szItemGroup | PRGR | char | OPT | NONE |
A user defined code (system 40/type PI) that identifies an inventory price group for an item.
Inventory price groups have unique pricing
structures that direct the system to incorporate discounts or markups on items on sales and purchase orders. The discounts or markups are
based on the quantity, dollar amount, or weight of the item ordered. When you assign a price group to an item, the item takes on the same pricing
structure defined for the inventory price group.
You must assign an inventory price group to the supplier or customer, as well as to the item, for
the system to interactively calculate discounts and markups on sales orders and purchase orders. |
szShippingCommodityClass | SHCM | char | OPT | NONE |
A user defined code (41/E) that represents an item property type or classification (for example, international shipment handling). The
system uses this code to sort and process similar items. This field is one of three classification categories available primarily for inventory and
shipping purposes.
|
szShippingConditionsCode | SHCN | char | OPT | NONE |
A code (table 41/C) that represents an item property type or classification,such as special shipping conditions. The system uses this code
to sort and process like items.
This field is one of three classification categories available primarily for inventory and shipping purposes. |
szStopCode | STOP | char | OPT | NONE |
The stop code is a user defined code (system 42, type SP) that represents the stop on a delivery route. This field is one of several factors
used by the freight summary facility to calculate potential freight charges for an order.
For picking, you can use the stop code with the route and
zone codes to group all items that are to be loaded onto a delivery vehicle for a specific route.
You set up the default for each of these fields
on the Customer Billing Instructions form. |
mnAmtListPricePerUnit | LPRC | MATH_NUMERIC | OPT | NONE |
The list price in the unit of measure of the base price retrieved from the Base Price File (F4106). This is the price the customer would pay if
there were no price adjustments applied during Sales Order Entry. This price is stated in domestic currency. |
mnAmountListPriceForeign | FPRC | MATH_NUMERIC | OPT | NONE |
The list price in the unit of measure of the base price retrieved from the Base Price File (F4106). This is the price the customer would pay if
there were no price adjustments applied during Sales Order Entry. This price is stored in the customer's currency. |
szUnitOfMeasurePrimary | UOM1 | char | OPT | NONE |
A user defined code (00/UM) that identifies the unit of measure that the system uses to express the quantity of an item, for example, EA
(each) or KG (kilogram). |
szUnitOfMeasureEntUP | APUM | char | OPT | NONE |
The basic measurement abbreviation used to designate the quantity of an inventory item.
Examples are:
BA bale
LB - pound
BG bag
MB - per thousand pieces
BU bundle
MF - per thousand feet
BX box MW - per thousand weight
CB - per hundred pieces
PC piece
CF - per hundred feet
PR - pair
Although entry of cost and price per primary unit of measure is the accepted standard, the user may choose
to enter cost and price per any of the five basic units of measure available. If that happens, that unit of measure is recorded separately so
that all subsequent costing and pricing algorithms will be performed properly. |
szRateCodeFrieghtMisc | FRAT | char | OPT | NONE |
The user defined code (system 41/type RT) for freight rate. This designates the amount that the customer is charged for postage, freight, or
other miscellaneous expenses for an order. |
cStockingType | STKT | char | OPT | NONE |
A user defined code (41/I) that indicates how you stock an item, for example, as finished goods or as raw materials. The following stocking
types are hard-coded and you should not change them:
0 Phantom item
B Bulk floor stock
C Configured item
E Emergency/corrective
maintenance
F Feature
K Kit parent item
N Nonstock
The first character of Description 2 in the user defined code table indicates if the item
is purchased (P) or manufactured (M). |
cMethodOfPriceCalcula | PMTH | char | OPT | NONE |
A code that determines how the system calculates the price for kit items or configured items. Valid values are:
Blank
Use for items that are
neither kit items nor configured items.
1
The system accumulates the base prices of components with the configured price adjustments, and
then discounts the total.
2
The system accumulates the base price of the parent item with the configured price adjustments, and then discounts
the total.
3
The system accumulates the configured price adjustments, and then discounts the total.
4
The system accumulates the individually
discounted price of the components with the configured price adjustments.
Note: Configured price adjustments are only included in the
calculation for a configured item. Also, the system only discounts costs if you are using the Advanced Pricing system.
The following is an example of
how the system uses the various methods:
Parent Item: 125
Component A: 50
Component B: 100
Configured Cost Adjustment 1: 15
Configured
Cost Adjustment 2: 10
Advanced Price Discount: 10%
Methods:
1: 50 + 100 = 150 + 15 + 10 = 175 - 17.50 = 157.5
2: 125 + 15 + 10 = 150 - 15 = 135
3:
15 + 10 + 25 - 2.5 = 22.5
4: (50 - 5) + (100 - 10) = 135 + 15 + 10 = 160
|
mnIdentifierShortItem | ITM | MATH_NUMERIC | OPT | NONE |
An inventory item number. The system provides three separate item numbers plus an extensive cross-reference capability to other item
numbers (see data item XRT) to accommodate substitute item numbers, replacements, bar codes, customer numbers, supplier numbers, and
so forth. The item numbers are as follows:
o Item Number (short) - An eight-digit, computer-assigned item number
o 2nd Item Number - The
25-digit, free-form, user defined alphanumeric item number
o 3rd Item Number - Another 25-digit, free-form, user defined alphanumeric item
number |
cUpdateWFCache | EV22 | char | OPT | NONE |
An option that specifies the type of processing for an event.
|