Lawson Software

Lawson Insight Technical Documentation

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                             CBTRFDTL FILE

                          Fund Transfer Detail

The Fund Transfer Detail file contains all distributions associated with a
bank fund transfer.

REFERENCED BY

CB195     CB215

UPDATED BY

CB15.1    CB15.2    CB300

FIELD NAME           DESCRIPTION/VALID VALUES                    UPDATED BY

CBL-CASH-CODE        Alpha 4                                     CB15.1  CB15.2
Cash Code            The cash code. Represents either the
                     bank account you are transferring funds
                     from for multiple deposits or the bank
                     account you are transferring funds to
                     from multiple withdrawals.

                     If the Transfer Type field of the
                     associated Fund Transfer file record = 1
                     (Many Deposits), this cash code
                     represents the bank account you are
                     transferring funds from for deposit into
                     the Detail Cash Code. If the Transfer
                     Type field of the associated Fund
                     Transfer file record = 2 (Many
                     Withdrawals), this cash code represents
                     the bank account you are transferring
                     funds to from a withdrawal made from the
                     Detail Cash Code. Must be a valid record
                     in the Cash Code file.

CBL-TRANSFER-NBR     Alpha 10  (Right Justified)                 CB15.1  CB15.2
Transfer Number      A user-defined identification number
                     used to identify the bank fund transfer.

CBL-DTL-CASH-CODE    Alpha 4                                     CB15.1  CB15.2
Detail Cash Code     The cash code representing the bank
                     account a deposit is being made to or a
                     withdrawal is being made from. If the
                     Transfer Type field of the associated
                     Fund Transfer file record = 1 (Many
                     Deposits), this cash code represents the
                     bank account you are depositing funds to
                     based on a transfer from the Cash Code.
                     If the Transfer Type field of the
                     associated Fund Transfer file record = 2
                     (Many Withdrawals), this cash code
                     represents the bank account you are
                     withdrawing funds from based on a
                     transfer to the Cash Code. Must be a
                     valid record in the Cash Code file.

CBL-DTL-COMPANY      Numeric 4                                   CB15.1  CB15.2
Detail Company       The company associated with the Detail
                     Cash Code. Must be a valid record in the
                     General Ledger Company file and have a
                     valid relationship record in the
                     Intercompany Relationship file. If left
                     blank, the company responsible for
                     initiating the fund transfer defaults
                     (the Company field of the associated
                     Fund Transfer file record).

CBL-DTL-TRAN-AMT     Signed 15.2                                 CB15.1  CB15.2
Detail Transfer      The amount of the transfer in the bank
Amount               account currency of the Detail Cash
                     Code.

CBL-DTL-BASE-AMT     Signed 15.2                                 CB15.1  CB15.2
Base Detail          The amount of the transfer in the base
Transfer Amount      currency of the Detail Company.

CBL-HDR-TRAN-AMT     Signed 15.2                                 CB15.1  CB15.2
Transfer Amount      The amount to be deposited to the
                     Detail Cash Code in the bank account
                     currency of the Header Cash Code.

CBL-HDR-BASE-AMT     Signed 15.2                                 CB15.1  CB15.2
Base Transfer Amount The amount to be deposited to the
                     Detail Cash Code in the base currency of
                     the company responsible for initiating
                     the transfer.

CBL-DTL-EXCH-RATE    Signed 12.6                                 CB15.1  CB15.2
Detail Exchange Rate The currency exchange rate used for
                     converting transfer amounts from the
                     bank account currency of the Detail Cash
                     Code to the base currency of the Detail
                     Company.

CBL-HDR-EXCH-RATE    Signed 12.6                                 CB15.1  CB15.2
Transfer Exchange    The currency exchange rate used for
Rate                 converting transfer amounts from the
                     bank account currency of the Header Cash
                     Code to the base currency of the Company
                     responsible for initiating the transfer.

CBL-BANK-INST-CODE   Alpha 3                                     CB15.1  CB15.2
Transaction Code     The transaction code.

                     If the Detail Transfer Amount
                     represents a deposit to the Detail Cash
                     Code, this field contains the
                     transaction code used for transferring
                     funds to the Detail Cash Code as defined
                     in the Fund Transfer Table file. Must be
                     a valid bank credit type bank service
                     transaction code in the Bank Transaction
                     Code file.

                     If the Detail Transfer Amount
                     represents a withdrawal from the Detail
                     Cash Code, this field contains the
                     transaction code used for transferring
                     funds from the Detail Cash Code as
                     defined in the Fund Transfer Table file.
                     Must be a valid bank debit type bank
                     service transaction code in the Bank
                     Transaction Code file.

CBL-BEXP-TRAN-AMT    Signed 15.2                                 CB15.2
Bank Expense Amount  The amount charged by the bank for the
                     fund transfer in the bank account
                     currency defined for the Detail Cash
                     Code. This field is used only if the
                     Detail Transfer Amount represents a
                     withdrawal from the Detail Cash Code.

CBL-BEXP-BASE-AMT    Signed 15.2                                 CB15.2
Base Currency Bank   The amount charged by the bank for the
Expense Amt          fund transfer in the base currency of
                     the Detail Company.

CBL-BEXP-ACCT-UNIT   Alpha 15                                    CB15.2
Bank Expense         The general ledger accounting unit used
Accounting Unit      for posting the bank expense. Must be a
                     valid record in the General Ledger Names
                     file.

CBL-BEXP-ACCOUNT     Numeric 6                                   CB15.2
Bank Expense         The general ledger account number used
Account Number       for posting the bank expense. Must be a
                     valid record in the General Ledger
                     Account Master file.

CBL-BEXP-SUB-ACCT    Numeric 4                                   CB15.2
Bank Expense         The general ledger subaccount number
Subaccount Number    used for posting the bank expense. Must
                     be a valid record in the General Ledger
                     Account Master file.

CBL-JRNL-BOOK-NBR    Alpha 12                                    CB15.1  CB15.2
Journal Book         The journal book assigned to the
                     transaction.

                         CBTRFDTL FILE INDEX

NAME      KEY FIELDS    DESCRIPTION / SUBSET CONDITION           USED IN

CBLSET1   CASH-CODE     This index is used to group transferred  CB15.1  CB15.2
          TRANSFER-NBR  bank transactions by originating bank.   CB195   CB215
          DTL-CASH-CODE                                          CB300

CBLSET3   DTL-CASH-CODE This index is used to edit for
          TRANSFER-NBR  duplicate transfer numbers.
          CASH-CODE     KeyChange

                         CBTRFDTL FILE RELATIONS

ONE TO ONE RELATIONS


RELATION       RELATED
 NAME           FILE        INTEGRITY RULES / FIELD MATCH

Cbbankent Dtl  CBBANKENT    Required

                            CBC-BANK-ENTITY       -> CBE-BANK-ENTITY  (CBESET1)

Cbbankent Hdr  CBBANKENT    Required

                            CBC-BANK-ENTITY       -> CBE-BANK-ENTITY

Cbbankinst     CBBANKINST   Required

                            CBL-BANK-INST-CODE    -> CBI-BANK-INST-CODE

Cbcashcode     CBCASHCODE   Required

                            CBL-CASH-CODE         -> CBC-CASH-CODE

Cbcashcode Dtl CBCASHCODE   Required

                            CBL-DTL-CASH-CODE     -> CBC-CASH-CODE

Cbtrfhdr       CBTRFHDR     Required

                            CBL-CASH-CODE         -> CBH-CASH-CODE
                            CBL-TRANSFER-NBR      -> CBH-TRANSFER-NBR

Cbtrftable     CBTRFTABLE   Required

                            CBL-CASH-CODE         -> CBX-CASH-CODE

Glsystem Dtl   GLSYSTEM     Required

                            CBL-DTL-COMPANY       -> GLS-COMPANY

Glsystem Hdr   GLSYSTEM     Required

                            CBH-COMPANY           -> GLS-COMPANY