D76M0402A - Add Record to Journal Cache - Mexico
Parameter Name | Data Item | Data Type | Req/Opt | I/O/Both |
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szBatchType | ICUT | char | OPT | NONE |
A code that specifies the system and type of transactions entered in a batch. The system assigns the value when you enter a transaction.
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mnBatchNumber | 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
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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,
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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
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mnDocVoucherInvoiceE | 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
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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
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szCompany | CO | char | OPT | NONE |
A code that identifies a specific organization, fund, or other reporting entity. The company code must already exist in the Company
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szCurrencyCodeFrom | CRCD | char | OPT | NONE |
A code that identifies the currency of a transaction. | ||||
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
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szGlClass | GLC | char | OPT | NONE |
A code that determines the trade account that the system uses as the offset when you post invoices or vouchers. The system concatenates
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szPOAccountNumber | ANI | char | OPT | NONE |
A value that identifies an account in the general ledger. Use one of the following formats to enter account numbers:
o Standard account
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szDocumentPayItem | SFX | char | OPT | NONE |
A number that identifies the pay item for a voucher or an invoice. The system assigns the pay item number. If the voucher or invoice has
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mnPayItemExtensionNumber | SFXE | MATH_NUMERIC | OPT | NONE |
A code to designate an adjusting entry to a pay item on a voucher or invoice. This field is required so that each record is unique. | ||||
mnDocMatchingCheckOr | DOCM | MATH_NUMERIC | OPT | NONE |
The number of the matching document, such as a receipt, payment, adjustment,or credit. You apply a matching document (DOCM) against
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szDocTypeMatching | DCTM | char | OPT | NONE |
Within Auto Bank Statement process, a document type is needed for the following:
1) Document Type is needed for creating Variance
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szVoucherBussinesUnit | 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
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mnPaymentDomesticTaxAmount | STAM | MATH_NUMERIC | OPT | NONE |
The amount assessed and payable to tax authorities. It is the total of the VAT, use, and sales taxes (PST). | ||||
mnPaymentForeignTaxAmount | CTAM | MATH_NUMERIC | OPT | NONE |
The tax amount in foreign currency. This can be the sales, use, or VAT tax. | ||||
szCurrencyCodeBase | BCRC | char | OPT | NONE |
A code that represents the currency of the company for a transaction. For a foreign currency transaction, this is the currency code of the
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jdDateServiceCurrency | DSVJ | JDEDATE | OPT | NONE |
A date that indicates when you purchased goods or services, or when you incurred a tax liability. | ||||
jdDateMatchingCheckOr | DMTJ | JDEDATE | OPT | NONE |
The date on a payment or the date on which a receipt was entered.
In Accounts Payable, the manual payment date and the general ledger
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jdVoidDateForGLJulian | VDGJ | JDEDATE | OPT | NONE |
The date that specifies the financial period to which the voided transaction is to be posted. Financial periods are set up in the Company
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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
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mnPaymentID | PYID | MATH_NUMERIC | OPT | NONE |
A number that the system assigns from Next Numbers to identify and track payment records. | ||||
mnFileLineIdentifier50 | RC5 | MATH_NUMERIC | OPT | NONE |
This field is used to create a unique key within a file and should be used with a next number approach. | ||||
cPaymentOrPrepayment | RP1 | char | OPT | NONE |
This code is for internal use by the Accounts Receivable and Accounts Payable systems. | ||||
mnCacheLineNumber | MATH01 | MATH_NUMERIC | OPT | NONE |
- - - Good Performance Low Value. | ||||
szSupplierInvoiceNumber | VINV | char | OPT | NONE |
The supplier's invoice number that is used for voucher entry. Voucher entry allows only one invoice per voucher number. If multiple invoice
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szPurchaseOrder | PO | char | OPT | NONE |
A document that authorizes the delivery of specified merchandise or the rendering of certain services. | ||||
mnTotalNumRecords | MATH01 | MATH_NUMERIC | OPT | NONE |
- - - Good Performance Low Value. | ||||
cCurrencyMode | CRRM | char | OPT | NONE |
An option that specifies whether the system displays amounts in the domestic or foreign currency.
On
The system displays amounts in the
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szTaxArea | TXA1 | char | OPT | NONE |
A code that identifies a tax or geographic area that has common tax rates and tax authorities. The system validates the code you enter
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szTaxExplanationCode | EXR1 | char | OPT | NONE |
A hard-coded user defined code (00/EX) that controls the algorithm that the system uses to calculate tax and G/L distribution amounts. The
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mnTaxItemNumber | TXITM | MATH_NUMERIC | OPT | NONE |
A code that identifies a group of items or a single item for tax purposes. Items that have a group code are usually assessed a VAT. Items
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B0000004 Batch - Open On Initialization | ||||
B0000007 Batch - Revise On Transaction Commitment | ||||
B0000009 Get Next Journal Entry Line Number | ||||
B0000055 ValidateAAICompletely | ||||
B0000083 Convert Math Numeric to String with Left Zero Pad | ||||
B0800001 Math Numeric to String | ||||
B0900028 Reconcile Ledger File | ||||
B9800100 Get Audit Information | ||||
X0005 Get User Defined Codes | ||||
X0903 Fiscal Date Edits + | ||||
XX0901 Validate Account Number |
F0911 Account Ledger | ||||
F76M0414 F0414 - Payment Detail Tag File - Mexico |