Lawson Insight Technical Documentation

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ERDs Tables Conditions Elements Libraries APIs Forms

CB99


CB99.1 - Bank Account Balance Update



Use Bank Account Balance Update (CB99.1) to adjust the open and reconciled
balances of each cash code (representing a bank account) to include
transactions
not converted in the current balances.



**More Information

For each cash code, type the current balance of all outstanding (unreconciled)
transactions in the Open Balance field and the current balance of reconciled
transactions in the Reconcile Balance field.


NOTE  CB99.1 is a one-time program used to adjust bank account balance
information after converting non-Lawson bank transactions.





Updated Files

    CBCASHCODE -


Referenced Files

    CBADJUST   -

    CBBALANCE  -

    CBDISTRIB  -


CB99.2 - Bank Period Balance Update



Use Bank Period Balance Update (CB99.2) to adjust the period ending
balance of each cash code (which represents a bank account) to include
transactions
not converted and exclude transactions converted for past periods. Inquire
to display period account balances using the period ending date from CB190.


NOTE  CB99.2 is a one-time program used to adjust bank account balance
information after converting non-Lawson bank transactions.



Updated Files

    CBBALANCE  -


Referenced Files

    CBCASHCODE -


CB99.3 - Transaction Bank Balance Update

Use Transaction Bank Balance Update (CB99.3) to update the beginning and
ending bank balances in the CBCONSOL file. The balances entered at the company
level will be consolidated and applied to the balances at the cash code level.


Updated Files

    ADDRDATA   -

    CBCASHCODE -

    CBCONSOL   -


Referenced Files

    CBUSER     -

    CBUSRCLASS -

    GLADDRESS  -

    GLCHART    -

    GLSYSTEM   -

    INSTCTRYCD -


CB99.4 - Transaction Account Balance Update

Use Transaction Account Balance Update (CB99.4) to update the beginning and
ending account balances in the CBCONSOL file. The balances entered at the
company level will be consolidated and applied to the balances at the cash
code level.


Updated Files

    ADDRDATA   -

    CBCASHCODE -

    CBCONSOL   -


Referenced Files

    CBUSER     -

    CBUSRCLASS -

    GLADDRESS  -

    GLCHART    -

    GLSYSTEM   -

    INSTCTRYCD -


CB99.5 - Transaction Open Balance Update

Use Transaction Open Balance Update (CB99.5) to update the beginning and
ending open balances in the CBCONSOL file. The balances entered at the company
and transaction code level will be consolidated and applied to the balances at
the company level and the cash code level.


Updated Files

    ADDRDATA   -

    CBBANKINST -

    CBCASHCODE -

    CBCONSOL   -


Referenced Files

    CBUSER     -

    CBUSRCLASS -

    GLADDRESS  -

    GLCHART    -

    GLSYSTEM   -

    INSTCTRYCD -


INVOKED Programs

    IFOB
    IFSG