This function will add cache records, and the draw number is controlled by the two processing option
parameters sent in. The preliminary final processing option will not assign a draw number. When the
next number processing option is sent in as a one, it will only use the draw number sent in. When it
it anything other than one, it will fetch on the F51002 file for the draw number based on each job
number. Once one is inserted (by job) it will be used though out the run of the program, until cache is
deleted.
^
D5100080 - F51911 Draw Cache
Parameter Name | Data Item | Data Type | Req/Opt | I/O/Both |
---|---|---|---|---|
szDocumentType | DCT | char | OPT | NONE |
A user defined code (00/DT) that identifies the origin and purpose of the transaction. PeopleSoft reserves several prefixes for document
| ||||
mnDocumentNumber | DOC | MATH_NUMERIC | OPT | NONE |
A number that identifies the original document, such as a voucher, invoice, or journal entry. On entry forms, you can assign the document
| ||||
szCompanyKey | KCO | char | OPT | NONE |
A number that, with the document number, document type and G/L date, uniquely identifies an original document, such as invoice, voucher,
| ||||
jdGLDate | DGJ | JDEDATE | OPT | NONE |
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
| ||||
mnJournalEntryLineNo | JELN | MATH_NUMERIC | OPT | NONE |
A number that designates a line within a journal entry. The system uses this field to sequence the journal entry lines for inquiry purposes. | ||||
szJobNumber | MCU | char | OPT | NONE |
An alphanumeric code that identifies a separate entity within a business for which you want to track costs. For example, a business unit
| ||||
szCostCode | SUB | char | OPT | NONE |
A subset of an object account. Subsidiary accounts include detailed records of the accounting activity for an object account. | ||||
szCostType | OBJ | char | OPT | NONE |
The portion of a general ledger account that refers to the division of the Cost Code (for example, labor, materials, and equipment) into
| ||||
szSubledger | SBL | char | OPT | NONE |
A code that identifies a detailed, auxiliary account within a general ledger account. A subledger can be an equipment item number or an
| ||||
cSubledgerType | SBLT | char | OPT | NONE |
A user defined code (00/ST) that is used with the Subledger field to identify the subledger type and how the system performs subledger
| ||||
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
| ||||
mnDrawNumber | ICU | MATH_NUMERIC | OPT | NONE |
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
| ||||
mnAmount | AA | MATH_NUMERIC | OPT | NONE |
A number that identifies the amount that the system will add to the account balance of the associated account number. Enter credits with a
| ||||
szExplanation | EXA | char | OPT | NONE |
A description, remark, explanation, name, or address. | ||||
cPreliminaryOrFinalProcessing | PRFI | char | OPT | NONE |
A code that specifies whether to run in preliminary or final mode. Valid values are:
Blank
Preliminary mode. This is the default.
1
Final
| ||||
cDrawNextNumbers | EV01 | char | OPT | NONE |
An option that specifies the type of processing for an event. | ||||
cErrorFlag | EV02 | char | OPT | NONE |
An option that specifies the type of processing for an event. | ||||
cDrawStatusCode | DRST | char | OPT | NONE |
The current status of specific information related to draw reporting in the Account Ledger table (F0911). Valid values are:
Blank
The
|
None |
None |