D76A0730 - Add Clearing Days to G/L Date AGR - 03B - 76A
Parameter Name | Data Item | Data Type | Req/Opt | I/O/Both |
---|---|---|---|---|
mnPaymentID | PYID | MATH_NUMERIC | OPT | NONE |
A number that the system assigns from Next Numbers to identify and track payment records. | ||||
mnFloatDaysforChecksRcv | FLR | MATH_NUMERIC | OPT | NONE |
The number of days the system adds to the draft due date to determine the G/L date for journal entries created during the draft collection
| ||||
jdGLDate | DATE02 | JDEDATE | OPT | NONE |
Event point for JDE Date. | ||||
szCallingVersion | VERS | char | OPT | NONE |
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
| ||||
jdDateForGLandVoucherJULIA | 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
| ||||
jdDateDGJ | 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
| ||||
cDraftStatus | DDST | char | OPT | NONE |
A code that the system assigns to draft records (F03B13 and F03B14) to indicate their progress during the collection process. Valid values
| ||||
cFlagFloatDays | EV01 | char | OPT | NONE |
An option that specifies the type of processing for an event. | ||||
cPaymentInstrumentA | 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
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B3100210 ValidateDateinWorkDayCalendar | ||||
B76A0001 Pad String - Utilities - ARG - 04 - 76A | ||||
X0005 Get User Defined Codes |
F76A60 Receipts Header Argentine Tag File - 03B - 76A |