Parameter Name | Data Item | Data Type | Req/Opt | I/O/Both |
mnContractNo | DOCO | MATH_NUMERIC | REQ | INPUT |
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. |
szContractDocumentType | DCTO | char | REQ | INPUT |
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
|
szContractKeyCo | KCOO | char | REQ | INPUT |
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. |
mnAmountDocumentsEntered | DOCN | MATH_NUMERIC | OPT | BOTH |
If you are using the batch control feature, the number of transactions entered into the batch. If you are not using batch control, the system
displays the number as negative.
Note: The batch review screen is used by many J.D. Edwards systems. As a result, this field might not apply to
batches created by your particular system. |
szHostBusinessUnit | JMCU | char | REQ | INPUT |
The Business Unit responsible for the job. This is particularly useful during transfer pricing. |
mnBatchNumber | ICU | MATH_NUMERIC | REQ | INPUT |
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
assign a batch number or let the system assign it using the Next Numbers program. |
mnBatchAmt | AME | MATH_NUMERIC | OPT | BOTH |
The total amount of transactions entered. |
jdDateBillFrom | DTFR | JDEDATE | OPT | INPUT |
The beginning date for which the transaction or code is applicable. |
jdDateBillThru | DTTO | JDEDATE | OPT | INPUT |
The ending date for which the transaction or code is applicable. |
mnApplicationNo | APPL | MATH_NUMERIC | REQ | INPUT |
The last or current application number for the specified contract. (The system assigns a new application number each time an invoice is
issued for the contract.)
|
jdApplicationDate | APDT | JDEDATE | REQ | INPUT |
The date of the last or current application. (An application is assigned each time an invoice is issued for the contract.) |
mnAdjustmentNo | ADJN | MATH_NUMERIC | OPT | INPUT |
A number used to control changes to closed applications. Closed applications represent invoices that have been sent. This number is
always zero unless you reopen a previous application. |
jdGeneralLedgerDate | DGJ | JDEDATE | REQ | 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
assign to the company record. The system compares the date that you enter on the transaction to the fiscal date pattern assigned to the
company to retrieve the appropriate fiscal period number, as well as to perform date validations. |
jdServiceDate | DSVJ | JDEDATE | REQ | INPUT |
A date that indicates when you purchased goods or services, or when you incurred a tax liability.
|
jdTableBasisDate | TBDT | JDEDATE | REQ | INPUT |
This date is used as the basis for comparison to the effective dates of the various tables used by the Service Billing system. This date is
determined by the values set up in the Service Billing Constants at the time the Service Billing Work File (F4812) is generated. |
cExchangeRateDateBasis | ERDB | char | REQ | INPUT |
A code that controls which date the system uses to retrieve the exchange rate for the invoice. Valid values are:
1
Use the invoice date
(default).
2
Use the G/L date of the invoice.
|
szCallingProgram | PID | char | REQ | INPUT |
The number that identifies the batch or interactive program (batch or interactive object). For example, the number of the Sales Order Entry
interactive program is P4210, and the number of the Print Invoices batch process report is R42565.
The program ID is a variable length value.
It is assigned according to a structured syntax in the form TSSXXX, where:
T
The first character of the number is alphabetic and identifies the
type, such as P for Program, R for Report, and so on. For example, the value P in the number P4210 indicates that the object is a
program.
SS
The second and third characters of the number are numeric and identify the system code. For example, the value 42 in the number P4210
indicates that this program belongs to system 42, which is the Sales Order Processing system.
XXX
The remaining characters of the numer are
numeric and identify a unique program or report. For example, the value 10 in the number P4210 indicates that this is the Sales Order Entry
program.
|
cErrorCode | ERRC | char | OPT | OUTPUT |
This error code indicates if any errors occurred during the creation of the Trip Document Detail (F4914) records by the Delivery Document
Set Server program (XT4914). |
idSeqSumInformation | OBID | ID | OPT | BOTH |
The Object Identifier uniquely identifies a control on a form. |
mnInvoiceNo | DOCZ | MATH_NUMERIC | REQ | INPUT |
The original document number. This can be a voucher, an invoice, unapplied cash, a journal entry number, etc. Matching document
numbers are also used to identify related documents in the Accounts Receivable and Accounts Payable systems. See matching document
(DOCM). This document number (DOCO) is always the original document number, and the matching document number (DOCM) is the check,
adjustment, or credit to be applied against the original document.
For example:
A/P Automated/Manual Payment: Original (DOCO) - Voucher;
Matching Document (DOCM) - Payment
A/R Original Invoice: Original (DOCO) - Invoice
Receipt Application: Original (DOCO) - Invoice; Matching
Document (DOCM) - Receipt
Credit Memo/Adjustment: Original (DOCO) - Invoice; Matching Document (DOCM) -Credit Memo
Unapplied
Case: Original (DOCO) - Receipt |
szInvoiceDocumentType | DCTI | char | REQ | INPUT |
A user defined (00/DI) document type for invoice entry. Any document type set up for invoice-only entry should begin with the letter R
(receivables). The default is RI, RR, or RM. Reserved document types have been defined for vouchers, invoices, receipts, and time sheets.
The
reserved document types are:
P_
Accounts Payable Documents R_Accounts Receivable Documents
T_
Payroll Documents I_Inventory
Documents
O_
Order Processing Documents
Note: Verify that the default document type for invoices is set up in both UDC 00/DT and UDC 00/DI.
|
szInvoiceKeyCompany | KCOI | char | REQ | INPUT |
Invoice Document Company. |
szRetGLOffset | RGLC | char | OPT | INPUT |
A code that designates the offset accounts for retainage, for example RETN or 1225. You set up the code as an automatic accounting
instruction.
Note: Do not use code 9999. This is reserved for the post program and indicates that offsets should not be created. |
cRetControlFlag | RCTL | char | OPT | INPUT |
An option that determines whether the retainage amount is stored in the Accounts Receivable or General Accounting system and whether
tax is calculated on the whole amount, including the retainage, or on each amount as it is billed. Valid values are:
Blank
The retainage is
stored in the Accounts Receivable system and the tax is computed from the total taxable amount.
1
The retainage is stored in the Accounts
Receivable system and the tax on the retainage amount is calculated and then subtracted from the total tax amount. This tax on retainage is
deferred until the retainage is released.
2
The retainage is stored in the General Accounting system and the tax is computed from the total taxable
amount.
3
The retainage is stored in the General Accounting system and the tax on the retainage amount is calculated and then subtracted from
the total tax amount. This tax on retainage is deferred until the retainage is released. |
cCurrencyMode | CRRM | char | REQ | INPUT |
An option that specifies whether the system displays amounts in the domestic or foreign currency.
On
The system displays amounts in the
foreign currency of the transaction.
Off
The system displays amounts in the domestic currency of the transaction.
|
mnCurrencyRate | CRRD | MATH_NUMERIC | OPT | INPUT |
A number (exchange rate) that a foreign currency amount is divided by to calculate a domestic currency amount. The number you enter in
this field can have a maximum of seven decimal positions. If more are entered, the system adjusts to the nearest seven decimal positions.
|
szOverrideTaxExplanationCode | EXR1 | char | REQ | INPUT |
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
system uses the tax explanation code in conjunction with the tax rate area and tax rules to determine how the tax is calculated. Each
transaction pay item can be defined with a different tax explanation code. |
szTaxRateArea | TXA1 | char | OPT | INPUT |
A code that identifies a tax or geographic area that has common tax rates and tax authorities. The system validates the code you enter
against the Tax Areas table (F4008). The system uses the tax rate area in conjunction with the tax explanation code and tax rules to calculate tax
and G/L distribution amounts when you create an invoice or voucher. |
szOverridePaymentTerms | PTC | char | OPT | INPUT |
A code that specifies the terms of payment, including the percentage of discount available if the invoice is paid by the discount due date.
Use a blank code to indicate the most frequently-used payment term. You define each type of payment term on the Payment Terms Revisions
form. Examples of payment terms include:
Blank
Net 15
001
1/10 net 30
002
2/10 net 30
003
Due on the 10th day of every month
006
Due upon receipt
This code prints on customer invoices.
|
mnCustomerNumber | AN80 | MATH_NUMERIC | OPT | INPUT |
Everest Parent Data Item. |
mnAltPayor | AN8J | MATH_NUMERIC | OPT | INPUT |
An alternate address to which accounts payable can send payments due.
|
mnParentContractNo | PCTN | MATH_NUMERIC | OPT | INPUT |
The parent contract number to which this particular contract is attached. |
szParentContractType | PCTT | char | OPT | INPUT |
The parent contract type to which this particular contract is attached. |
szParentContractKeyCo | PCKO | char | OPT | INPUT |
Parent Contract Document Company. |
cVertexActive | VVTX | char | OPT | INPUT |
This flag determines whether to use the Vertex Tax Compliance system for tax calculations. Values are:
Y
Use Vertex system to calculate
taxes.
N
Do not use Vertex system to calculate taxes. Instead, use JDE tax calculations.
|
mnVertexJobNumber | JOBS | MATH_NUMERIC | OPT | INPUT |
The job number (work station ID) which executed the particular job. |
szUpdateProgramID | PID | char | REQ | INPUT |
The number that identifies the batch or interactive program (batch or interactive object). For example, the number of the Sales Order Entry
interactive program is P4210, and the number of the Print Invoices batch process report is R42565.
The program ID is a variable length value.
It is assigned according to a structured syntax in the form TSSXXX, where:
T
The first character of the number is alphabetic and identifies the
type, such as P for Program, R for Report, and so on. For example, the value P in the number P4210 indicates that the object is a
program.
SS
The second and third characters of the number are numeric and identify the system code. For example, the value 42 in the number P4210
indicates that this program belongs to system 42, which is the Sales Order Processing system.
XXX
The remaining characters of the numer are
numeric and identify a unique program or report. For example, the value 10 in the number P4210 indicates that this is the Sales Order Entry
program.
|