D0400133 - Check Exchange Rate Write To Update
| Parameter Name | Data Item | Data Type | Req/Opt | I/O/Both |
|---|---|---|---|---|
| cUseVoucherRate | EV01 | char | OPT | INPUT |
An option that specifies the type of processing for an event. | ||||
| jdDateEffective | EFTJ | JDEDATE | OPT | INPUT |
The date when a transaction, contract, obligation, preference, or policy rule becomes effective. | ||||
| mnPaymntAmount_F04572 | PAAP | MATH_NUMERIC | OPT | INPUT |
In the Accounts Payable system, the amount of the payment.
In the Accounts Receivable system, the amount of the receipt. This amount
| ||||
| mnPaymentGroupControlNbr | HDC | MATH_NUMERIC | OPT | INPUT |
The Payment Control Group Number is used to group all payments and payment detail together in the A/P payments work files. This
| ||||
| mnCkControlNoAPCh | CKC | MATH_NUMERIC | OPT | INPUT |
The Check Control Number is used to group all A/P payment transactions for each individual check. | ||||
| szCurrencyCode_F04572 | CRCD | char | OPT | INPUT |
A code that identifies the currency of a transaction. | ||||
| cSuccess | EV01 | char | OPT | BOTH |
An option that specifies the type of processing for an event. | ||||
| jdDateForGLandVoucherJULIA | DGJ | JDEDATE | OPT | INPUT |
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
| ||||
| cFor_Dom | EV02 | char | OPT | OUTPUT |
An option that specifies the type of processing for an event. | ||||
| cCurrencyConversionMethod | CRCM | char | OPT | OUTPUT |
A value that specifies which method to use when converting from one currency to another. Valid values are:
Y
Multiplier method. The
| ||||
| szCurrCode_Co | CRCD | char | OPT | BOTH |
A code that identifies the currency of a transaction. | ||||
| None |
| None |