Lawson Software

Lawson Insight Technical Documentation

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Documentation generated by Decision Analytics

ERDs Tables Elements Libraries App Forms

WFAC70PD

Routines in this Library:
900-WFA-ADD-ERROR-MESSAGE
900-WFA-ADD-FOLDER
900-WFA-ADD-MSG-DETAIL
900-WFA-ADD-MSG-HEADER
900-WFA-ADD-VARIABLE
900-WFA-CANCEL-WORKUNIT
900-WFA-CHECK-STATUS
900-WFA-CREATE-WORKUNIT
900-WFA-RELEASE-WORKUNIT
900-WFA-SERVICE-INQUIRE
900-WFA-USER-DATA
900-WFA-WORKFLOW-CLOSE
900-WFA-WORKFLOW-OPEN
900-WFA-WORKUNIT-INQUIRE
Forms calling this Library:
WH34Component Feedback
WH33Detail Feedback
WH22Kit Options
WH210Route File Listing
WH21Routes
WH130Pick List Print
WH120Route Creation
WH110Batch Allocation
TX40Tax Inquire for Vertex Quantum
TX140Vertex Quantum Geocode Update
RW590Data Dictionary Load
RW299Detail Report Listing
RW298Usage Report
RW270Total Name Listing
RW260Total Range Listing
RW250Compute Listing
RW240Group Listing
RW230Ratio Listing
RW220Format Listing
RW215Row Chart Compare
RW210Row Listing
RW205Data Dictionary Listing
RW203User Class Listing
RW202Process Group Listing
RW201Folder Listing
RW200Report Listing
RW100Report Generation
RQ230Department Usage Report
RQ13Direct approval
RQ12Approval Review
PR197Payroll Close
POIJInvoke for POPLIUPD
PO135Received, Not Invoiced Report
PA53Personnel Workflow Action Over
PA42Job Requisitions
PA149Update Scheduled Tests
MX260Attribute Valid Value Listing
MX223List Member Listing
MX220View Listing
MX210List Listing
MX205Template Listing
MX201Attribute Listing
MX200Element Listing
MX160Attribute Valid Value Intf
MX123List Member Build
MX100Attribute, Element Load
MA63Receipt Match
MA126Auto Matching
JB240Journal Book Report
JB200Journal Book Listing
IN501Country Code Load
IN202Intrastat Codes
IN201Intrastat Country Code Listing
IFJRInterface JE Report
IC83Par Location Counts
IC280Distribution History Report
IC240General Ledger Audit Report
IC223Availability Report
IC142Replenishment by Requisition P
IC141Location Replenishment Report
IC02Location
IA150XML Data Mart Interface
IA120OLAP Database Load
GLSRGL Security Report
GL75Recurring Journal Entry Contro
GL500Fiscal Year Change
GL45Journal Entry Control
GL44Report Currency Entry
GL40Journal Entry
GL342Journal Entry Log Mass Delete
GL330Undistributed RE Rebuild
GL328Daily Report Currency Rebuild
GL327Report Currency File Rebuild
GL326GLAMOUNTSX, GLUNITSX File Reb
GL325GLAMOUNTS, GLUNITS File Rebui
GL320Consolidation File Creation
GL313Glitrans Load from 60 to 80
GL312Glitrans Load from 61 to 80
GL311Remote Site GL Transaction Upl
GL300General Ledger History Delete
GL297Posting Sequence Number Report
GL296Currency Exposure Report
GL295Projection by Account
GL294Projection by Level
GL293Income Statement
GL292Balance Sheet
GL291Trial Balance
GL290General Ledger Report
GL289GL Grand Livre Report - Date
GL288GL Grand Livre Report - Period
GL287AR Grand Livre Report - Date
GL286AR Grand Livre Report - Period
GL285AP Grand Livre Report - Date
GL284AP Grand Livre Report - Period
GL281French Trial Balance
GL275Recurring Journal Control Repo
GL270Recurring Journal Edit Listing
GL267Balance Interface Listing
GL262AU Attribute Interface Listing
GL261Acct Unit Interface Listing
GL260Chart Interface Listing
GL250Ledger Report Listing
GL247Centralization Book Report
GL245Journal Control Report
GL243Daily Transaction Listing
GL241Period Transaction Listing
GL240Journal Edit Listing
GL238Split Distribution Report
GL230Interzone Relationship Listing
GL225Intercompany Relationship List
GL223Template Conversion Listing
GL222Posting Accounts Listing by Ac
GL221Posting Accounts Listing
GL220Accounting Unit Listing
GL219Language Code Listing
GL216Acct Unit-Accts Template List
GL215Chart Compare
GL214Accounting Unit Template List
GL213Subaccount Template Listing
GL211Company Group Listing
GL210Company Listing
GL209Account Relationship Listing
GL208Organization Relationship List
GL205Source Code Listing
GL204Reconciliation Code Listing
GL201System Control Listing
GL200Chart of Accounts Listing
GL199Period Closing
GL198Non-GL Period Closing
GL196Report Currency Translation
GL195Translation Calculation
GL191Currency Revaluation
GL190Journal Posting
GL179Recurring Journal Closing
GL170Recurring Journal Interface
GL167Balance Interface
GL162AU Attribute Interface
GL161Accounting Unit Interface
GL160Chart of Accounts Interface
GL146Journal Backout and Unrelease
GL145Journal Entry Hold Release
GL141Consolidation Unload
GL135Intercompany Chart Map Posting
GL130Chart Map Creation
GL124Mass Accounting Unit Addition
GL123Acct Unit Template Conversion
GL122Mass Account Change Delete
GL121Mass Account Addition
GL120Level Reorganization
GL110Company Copy Delete
GL107Country Code Load
GL106Subledger Attribute Load
GL105System, Source Code Load
GL100Mass Chart Acct Change Delete
FB295Budget to Budget Analysis
FB265Budget Interface Listing
FB231Computed by Account Listing
FB230Computed by Acct Unit Listing
FB225Budget Control Report
FB220Budget Listing
FB210Spread Code Listing
FB201User Class Listing
FB200Global Factors Listing
FB20Budget Maintenance
FB195Translation Calculation
FB165Budget Interface
FB141Remote Budget Consolidation
FB122Budget Version
FB121Intercompany Mass Budgeting
FB120Intracompany Mass Budgeting
FB101Budget Calculation - Rates
FB100Budget Calculation - Computes
EE520Expense Interface
EE35Employee Expense Approval
EE20Employee Expense Report Entry
EE135Mass Employee Release
DR100Distribution Requirements Repo
CXCPCopy preference to case
CU300Currency Rate History Delete
CU260Currency Rate Interface Listin
CU220Translation Rate Listing
CU210Exchange Rate Listing
CU205Translation Code Listing
CU203Company Currency Gain/Loss Acc
CU202Currency Relationship Listing
CU201Currency Codes Listing
CU160Currency Rate Interface
CB500Bank Transaction Interface
CB300History Purge
CB260Cash Account Activity
CB221Bank Transaction Listing
CB220Bank History Report
CB215Bank Transfer Listing
CB211Cash Code Group Listing
CB210Cash Receipt Deposit Listing
CB195Company Period Close
CB191Bank Statement Close
CB190Bank Period Close
CB185Bank Tape Mass Reconciliation
CB180Cash Ledger Void Update
CB175Bank Transaction Posting
CA290Allocation Ledger
CA240Allocation Comparison
CA215Allocation Control Listing
CA210Allocation Edit Listing
CA205Allocation Code Listing
CA200Allocation Group Listing
CA199Allocation Closing
CA195Budget Allocation Interface
CA190Allocation Interface
CA110Allocation Calculation
BRIPInvoice Print Program
BRCCContract Percent Complete
BR65Contract Percent Complete
BR450Unbilled Activity Aging Report
BR430Revenue History
BR420Billing Invoice Report
BR405Milestone Analysis
BR400Billing History
BR265Contract Percent Complete Rpt
BR220Invoice Audit Listing
BR211Activity Customer Listing
BR210Contract Listing
BR205Milestone Listing
BR204Burden and Provisional Rates
BR203Billing Rate Listing
BR200Billing Listing
BR142Mass Transaction Hold
BR121Invoice Print and Interface
BR120Billing Calculation
BR11Customer
BR10Contract
BL90Pricing Inquiry
BL85Sea Inquiry
BL82Electronic Payment Transaction
BL81Invoice Line Inquiry
BL802Ship-to Load
BL80Invoice Inquiry
BL530Credit Card Interface
BL46Contract Price Maintenance
BL34Recurring Invoice AOC Entry
BL331Customer Recurring Invc Purge
BL33Recurring Billing Entry
BL32Comments for recurring invcs
BL31Customer Recurring Invoice
BL293GL Distribution Report
BL291Invoice Register
BL290Sales Journal
BL246Contract Listing
BL243Price Book Print
BL231Customer Recurring Invoices
BL220Invoice Status
BL219Customer Electronic Payments
BL217Electronic Payments
BL213Electronic Payment Types
BL204Customer Item Listing
BL202Ship-To Listing
BL13Electronic Payment Types
BL125EP Invoice Batch Release
BL123Sub-System Update
BL121Invoice Verification Report
BL04Customer Item Cross-Reference
BL02Ship To
AR82Returned Payment Maintenance
AR580Payment2 Interface
AR575Payment Interface
AR570Lock Box Interface
AR550Customer Interface
AR501Customer Conversion
AR48AR to AP Interface
AR45Disputed Transaction
AR44Invoice Obligation Grouping
AR30Cash Entry and Application
AR29Cash Transfer
AR261Customer Credit Alert
AR251Company Aging Report
AR245Disputed Transaction Report
AR24Cash Batch Inquiry Release
AR219Customer Credit Card Listing
AR210Customer Listing
AR21Cash
AR20Batch Entry
AR170Customer Review Selection
AR124Cash Batch Release Report
AR115EFT Payment Creation
AR08Customer Defaults
API2Invoke for APCBINVPD Object
API1Invoke for APRI70PD Object
AP520Invoice Interface
AP32Workflow Adjustments
AP275Invoice Distribution History
AP00Vendor Group-Company Set Up
AM580Depreciation Recalculation
AM551Item Update Adjustment Interfa
AM550Dictionary Load and Listing
AM520Book Name Change
AM500Asset Management Interface
AM310Book Purge
AM300Historical Purge
AM295FASB Reconciliation Report
AM292Recapture Report
AM290Tax Credit Report
AM285Book Comparison Report
AM282Class Depreciation Report
AM281Depreciation History Report
AM280Current Year Depreciation Repo
AM278Leased Asset Report
AM277Activity Report
AM275Transaction Report
AM270Account Balance Report
AM266Continuing Property Records
AM265Property Report
AM260Asset Report
AM255Projection Report
AM252Inventory Comparison
AM251Item Adjustment Interface List
AM250Inventory Worksheet
AM245Item Disposal Report
AM241Reinstate Disposed Assets
AM240Disposal Report
AM235Item Transfer Report
AM230Transfer Report
AM225Adjustment Report
AM224Repair Report
AM223Item Listing
AM222Asset Book Listing
AM221Asset,Tag Listing
AM220Addition Report
AM213Asset Group Listing
AM212Addition Template Listing
AM210Book Group Listing
AM205Company Setup Listings
AM200System Setup Listings
AM195Year End Close
AM192Short Year Close
AM190Period Close
AM185Insurance and Replacement Calc
AM180Depreciation Calculation and L
AM170Processing Release
AM145Mass Disposals
AM135Mass Transfers
AM125Mass Adjustments
AM120Asset Book Copy
AM118Repair Release
AM115Mass Additions
AC65Activity Percent of Completion
AC581Report Currency Rebuild
AC551Professional Services Automati
AC540Transaction Interface
AC530Activity Time Interface
AC520Resource Interface
AC510Attribute Interface
AC500Activity Interface
AC494Activity Acct Unit Analysis
AC493Output Measure Analysis
AC490Activity Reconciliation
AC480Activity Balances
AC473Profit and Loss Statement
AC472Bill of Activities
AC471Bill of Costs
AC460Capitalization History
AC440Resource Charge
AC421Change Order History
AC420Budget Variance
AC412Activity Status Report
AC410Activity Analysis
AC401Activity Trend
AC400Activity Group Analysis
AC310Activity Purge
AC300Activity Group Purge
AC298Commitment Detail Report
AC297Commitment Analysis Report
AC295Activity Commitment Summary
AC290Transaction Listing
AC276Recurring Encumbrance Listing
AC265Percent Complete Report
AC264Burden Type Listing
AC263Burden and Provisional Rates
AC262Pool Driver Values Listing
AC261Acct Cat Burden Assignmnt List
AC260Burden Code Listing
AC259Employee Vendor Rel Listing
AC258Expense Code Assignment
AC257Expense Code Listing
AC256Transaction Writer Report
AC255Transaction Writer Listing
AC240Journal Edit Listing
AC230Allocation Listing
AC229Activity Relationship Listing
AC228Activity Grp Relationship List
AC227Budget Interface Listing
AC225Budget Control Report
AC223Spread Code Listing
AC220Budget Listing
AC22Change Order Approval
AC218Activity Resource Rate Listing
AC217Resource Rate Listing
AC213Activity Attribute Listing
AC210Activity Listing
AC21Budget Change Order
AC208Process Group Listing
AC207Account Assignment Listing
AC206Acct Cat Assignment Listing
AC205Account Category Listing
AC204GL Code Listing
AC203Resource Assignment Listing
AC202Status Listing
AC200Activity Group Listing
AC196Activity Time Reconciliation
AC195System Control
AC191Accounting Unit Balance Post
AC190Activity Posting
AC176Recurring Commitment Journal
AC165Percent Complete Calculation
AC160Asset Interface
AC131Allocation Update
AC130Allocation Calculation
AC127Budget Interface
AC123Budget Copy
AC121Budget Calculation
AC120Level Reorganization
AC12Activity Status
AC112Mass Activity Status Change
AC110Activity Copy
AC105Account Category Copy
AC10Activity