| AB - Assignment Billing | 
| AC - Activity Management | 
| AD - | 
| AM - Asset Management | 
| AP - Accounts Payable | 
| AR - Accounts Receivable | 
| BL - Billing | 
| BN - Benefits | 
| BR - AC Billing Revenue | 
| CB - Cash Ledger | 
| CX - Case Carts | 
| DA - DA Custom | 
| DT - Bills of Exchange | 
| EB - | 
| EE - Employee Expense | 
| FR - | 
| GL - General Ledger | 
| HC - Compensation D Mart | 
| HR - Human Resources | 
| IA - Analytic Architect | 
| IC - Inventory Control | 
| IF - General Ledger Setup | 
| LA - | 
| LM - | 
| MA - Matching | 
| ML - Multi-Ledger | 
| OE - | 
| PA - Personnel | 
| PB - Pay To Bill | 
| PH - Pharmacy | 
| PO - Purchase Order | 
| PR - Payroll | 
| RQ - Requisitions | 
| SI - | 
| SL - Strategic Ledger | 
| TA - Time Accrual | 
| TE - Terms | 
| TM - Time and Attendance | 
| TP - | 
| TX - Tax | 
| UG - Upgrade Module | 
| WF - Workflow | 
| WH - Warehouse | 
| WO - | 
|  | 
|  | 
| ABSR | AB Security Report | 
|  | 
|  | 
| AC00 | Activity Group | 
| AC01 | Activity Copy | 
| AC02 | Activity Status Code | 
| AC03 | Resource | 
| AC04 | GL Code | 
| AC05 | Account Category | 
| AC06 | Account Category Assignment | 
| AC07 | Account Assignment | 
| AC08 | Report Group | 
| AC09 | Subcontract Employee | 
| AC10 | Activity | 
| AC105 | Account Category Copy | 
| AC11 | Copy Activity | 
| AC110 | Activity Copy | 
| AC112 | Mass Activity Status Change | 
| AC12 | Activity Status | 
| AC120 | Level Reorganization | 
| AC121 | Budget Calculation | 
| AC123 | Budget Copy | 
| AC127 | Budget Interface | 
| AC13 | Activity Attributes | 
| AC130 | Allocation Calculation | 
| AC131 | Allocation Update | 
| AC135 | ACTVY Attr Effect Date Update | 
| AC15 | ACMONITOR Maintenance | 
| AC160 | Asset Interface | 
| AC165 | Percent Complete Calculation | 
| AC17 | Resource Rates | 
| AC170 | Recurring Journal Update | 
| AC176 | Recurring Commitment Journal | 
| AC18 | Activity Resource Rates | 
| AC190 | Activity Posting | 
| AC191 | Accounting Unit Balance Post | 
| AC192 | Billing and Rev Recalculate | 
| AC195 | System Control | 
| AC196 | Activity Time Reconciliation | 
| AC198 | Burden Rate Recalculation | 
| AC20 | Budget | 
| AC200 | Activity Group Listing | 
| AC202 | Status Listing | 
| AC203 | Resource Assignment Listing | 
| AC204 | GL Code Listing | 
| AC205 | Account Category Listing | 
| AC206 | Acct Cat Assignment Listing | 
| AC207 | Account Assignment Listing | 
| AC208 | Process Group Listing | 
| AC209 | Subcontract Employee Listing | 
| AC21 | Budget Change Order | 
| AC210 | Activity Listing | 
| AC213 | Activity Attribute Listing | 
| AC217 | Resource Rate Listing | 
| AC218 | Activity Resource Rate Listing | 
| AC22 | Change Order Approval | 
| AC220 | Budget Listing | 
| AC223 | Spread Code Listing | 
| AC225 | Budget Control Report | 
| AC227 | Budget Interface Listing | 
| AC228 | Activity Grp Relationship List | 
| AC229 | Activity Relationship Listing | 
| AC23 | Spread Code | 
| AC230 | Allocation Listing | 
| AC240 | Journal Edit Listing | 
| AC25 | Budget Control | 
| AC255 | Transaction Writer Listing | 
| AC256 | Transaction Writer Report | 
| AC257 | Expense Code Listing | 
| AC258 | Expense Code Assignment | 
| AC259 | Employee Vendor Rel Listing | 
| AC260 | Burden Code Listing | 
| AC261 | Acct Cat Burden Assignmnt List | 
| AC262 | Pool Driver Values Listing | 
| AC263 | Burden and Provisional Rates | 
| AC264 | Burden Type Listing | 
| AC265 | Percent Complete Report | 
| AC27 | Budget Relationship | 
| AC276 | Recurring Encumbrance Listing | 
| AC28 | Activity Group Relationship | 
| AC29 | Activity Relationship | 
| AC290 | Transaction Listing | 
| AC295 | Activity Commitment Summary | 
| AC297 | Commitment Analysis Report | 
| AC298 | Commitment Detail Report | 
| AC30 | Activity Allocation | 
| AC300 | Activity Group Purge | 
| AC310 | Activity Purge | 
| AC32 | Allocation Pool | 
| AC34 | Compute Parameters | 
| AC35 | Activity Total Names | 
| AC36 | Activity Total Range | 
| AC37 | Allocation Group | 
| AC40 | Journal Entry | 
| AC400 | Activity Group Analysis Report | 
| AC401 | Activity Trend | 
| AC41 | Resource Journal Entry | 
| AC410 | Activity Analysis | 
| AC412 | Activity Status Report | 
| AC42 | Subcontractor Time Entry | 
| AC420 | Budget Variance Report | 
| AC421 | Change Order History | 
| AC440 | Resource Charge | 
| AC45 | Transaction Edit | 
| AC460 | Capitalization History | 
| AC471 | Bill of Costs | 
| AC472 | Bill of Activities | 
| AC473 | Profit and Loss Statement | 
| AC480 | Activity Balances | 
| AC490 | Activity Reconciliation | 
| AC493 | Output Measure Analysis | 
| AC494 | Activity Acct Unit Analysis | 
| AC50 | Activity Interface Adjustment | 
| AC500 | Activity Interface | 
| AC51 | Attribute Interface Adjustment | 
| AC510 | Attribute Interface | 
| AC52 | Resource Interface Adjustment | 
| AC520 | Resource Interface | 
| AC53 | Novient Company Mapping | 
| AC530 | Activity Time Interface | 
| AC54 | Transaction Interface Maint | 
| AC540 | Transaction Interface | 
| AC541 | Time Entry Commitments | 
| AC542 | Time and Expense Entry Interfa | 
| AC55 | Transaction Writer | 
| AC550 | Time Entry Load | 
| AC551 | Calendar Load | 
| AC552 | Professional Services Purge | 
| AC559 | Employee Vendor Relation Load | 
| AC56 | Subcontract Emp Interface Adj | 
| AC560 | Subcontract Employee Interface | 
| AC57 | Employee Expense Codes | 
| AC58 | Employee Expense Cd Assignment | 
| AC580 | Balance Rebuild | 
| AC581 | Report Currency Rebuild | 
| AC59 | Employee Vendor Relationship | 
| AC60 | Burden Codes | 
| AC61 | Acct Category Burden Assignmnt | 
| AC62 | Pool Driver Values | 
| AC63 | Burden Rates | 
| AC64 | Burden Type | 
| AC65 | Activity Percent of Completion | 
| AC66 | Fee Burden Code Ceiling | 
| AC70 | Recurring Journal Entry | 
| AC76 | Recurring Commitment Entry | 
| AC81 | Budget Exchange Rate | 
| AC881 | PO135 Commitment Delete | 
| AC90 | Activity Group Analysis | 
| AC91 | Activity Attributes | 
| AC92 | Resource Analysis | 
| AC93 | Output Measure Analysis | 
| AC94 | Activity Acct Unit Analysis | 
| AC95 | Account Category Analysis | 
| AC96 | Transaction Analysis | 
| AC97 | Acct Cat Encumbrance Analysis | 
| AC98 | Commitment Detail Analysis | 
| ACAC | Activity Mgmt Activity Edit | 
| ACBA | Build Activity Dimension | 
| ACBB | Burdens and Trans Flowchart | 
| ACBC | Build Category Dimension | 
| ACBP | Build Period Dimension | 
| ACBR | Build Resource Dimension | 
| ACBS | Build Scenario Dimension | 
| ACBU | Build Amount Dimension | 
| ACBY | Build Year Dimension | 
| ACCL | Activity Management Calendar | 
| ACDL | Data Mart Data Load | 
| ACDM | Activity Data Mart Setup Share | 
| ACDR | Data Rebuild | 
| ACEX | Activity Explorer | 
| ACFL | Activity Setup Flowchart | 
| ACSR | AC Security Report | 
| ACSS | Scenario Definition | 
| ACTA | Calculate to Date Totals | 
| ACTD | Activity Data Mart Setup Share | 
| ACVW | AC Activity View | 
| DA145 | Custom Mass AC Unpost-Backout | 
| DA233 | Contract Revenue Summary | 
| DA490 | AC-GL Reconciliation | 
| SE10 | Web User Favorites Entry | 
| SE90 | SEA Activity Acct Cat Analysis | 
|  | 
|  | 
|  | 
|  | 
| AM00 | Book | 
| AM01 | Calendar | 
| AM02 | Method | 
| AM03 | Tax Credit Table | 
| AM04 | Personal Use | 
| AM05 | Account Group | 
| AM06 | Type | 
| AM07 | Location | 
| AM08 | Division | 
| AM09 | Accounting Unit Group | 
| AM10 | Book Groups | 
| AM11 | Disposal Property | 
| AM115 | Mass Additions | 
| AM118 | Repair Release | 
| AM12 | Addition Template | 
| AM120 | Asset Book Copy | 
| AM125 | Mass Adjustments | 
| AM13 | Asset Group | 
| AM135 | Mass Transfers | 
| AM145 | Mass Disposals | 
| AM15 | Asset Interface | 
| AM152 | Inventory Update | 
| AM153 | Asset Bar Code Labels | 
| AM154 | AM Bar Code File Interface | 
| AM16 | System Options | 
| AM170 | Processing Release | 
| AM18 | Asset Repair Interface | 
| AM180 | Depreciation Calculation and L | 
| AM185 | Insurance and Replacement Calc | 
| AM190 | Period Close | 
| AM192 | Short Year Close | 
| AM195 | Year End Close | 
| AM20 | Additions,Adjustments | 
| AM200 | System Setup Listings | 
| AM205 | Company Setup Listings | 
| AM206 | Product Category Workbook | 
| AM207 | Location Detail Workbook | 
| AM21 | Lease Additions,Adjustments | 
| AM210 | Book Group Listing | 
| AM211 | Asset Template Workbook | 
| AM212 | Addition Template Listing | 
| AM213 | Asset Group Listing | 
| AM214 | Class Depreciation Rate List | 
| AM220 | Addition Report | 
| AM221 | Asset,Tag Listing | 
| AM222 | Asset Book Listing | 
| AM223 | Item Listing | 
| AM224 | Repair Report | 
| AM225 | Adjustment Report | 
| AM23 | Asset Attributes | 
| AM230 | Transfer Report | 
| AM235 | Item Transfer Report | 
| AM240 | Disposal Report | 
| AM241 | Reinstate Disposed Assets | 
| AM245 | Item Disposal Report | 
| AM25 | Mass Disposal Selection | 
| AM250 | Inventory Worksheet | 
| AM251 | Item Adjustment Interface List | 
| AM252 | Inventory Comparison | 
| AM255 | Projection Report | 
| AM260 | Asset Report | 
| AM265 | Property Report | 
| AM266 | Continuing Property Records | 
| AM267 | Asset Register | 
| AM270 | Account Balance Report | 
| AM275 | Transaction Report | 
| AM277 | Activity Report | 
| AM278 | Leased Asset Report | 
| AM280 | Current Year Depreciation Repo | 
| AM281 | Depreciation History Report | 
| AM282 | Class Depreciation Report | 
| AM285 | Book Comparison Report | 
| AM287 | Depreciable Asset Register | 
| AM290 | Tax Credit Report | 
| AM292 | Recapture Report | 
| AM295 | FASB Reconciliation Report | 
| AM30 | Transfers | 
| AM300 | Historical Purge | 
| AM310 | Book Purge | 
| AM320 | Depreciation History Rebuild | 
| AM35 | Mass Transfer Selection | 
| AM40 | Disposals | 
| AM41 | Reinstate Disposed Assets | 
| AM45 | Mass Disposal Selection | 
| AM500 | Asset Management Interface | 
| AM51 | Item Adjustment | 
| AM52 | Inventory Interface Maint | 
| AM520 | Book Name Change | 
| AM550 | Dictionary Load and Listing | 
| AM551 | Item Update Adjustment Interfa | 
| AM580 | Depreciation Recalculation | 
| AM60 | Annual Depreciation Override | 
| AM70 | Asset Analysis | 
| AM700 | Depr Expense Allocation Update | 
| AM75 | Account Analysis | 
| AM80 | Transaction Analysis | 
| AM85 | Activity Analysis | 
| AM88 | AM Data Mart Definition | 
| AM90 | Asset Book Analysis | 
| AM91 | Leased Asset Book Analysis | 
| AM93 | Transaction Conversion Adjust | 
| AM94 | Attribute Interface Adjustment | 
| AM95 | Disposal Analysis | 
| AM96 | Asset Interface Adjustment | 
| AM97 | Item Interface Adjustment | 
| AM98 | Asset Book Interface Adjust | 
| AM99 | Transaction Balance Update | 
| AMAS | Build Asset Dimension | 
| AMBK | Build Book Dimension | 
| AMBL | AM Build Matrix List | 
| AMCO | Attachments Interface | 
| AMCV | Build Conventions Dimension | 
| AMDL | AM Datamart Data Load | 
| AMDM | AM Data Mart Setup | 
| AMFL | Asset Management Flowcharts | 
| AMLF | Build Life Dimension | 
| AMMD | Build Measures Dimension | 
| AMME | Build Measures Dimension | 
| AMPD | Build Period Dimension | 
| AMYR | Build Year Dimension | 
|  | 
|  | 
| AP00 | Vendor Group-Company Set Up | 
| AP01 | Pay Group | 
| AP02 | Reportable Income Group | 
| AP04 | Pay Group Class | 
| AP05 | Ap Parameter Maintenance | 
| AP06 | Ap Parameter Windows | 
| AP09 | Invoice Windows | 
| AP10 | Vendor Maintenance | 
| AP100 | Vendor Group Copy | 
| AP101 | Pay Group Update | 
| AP102 | Process Group Update | 
| AP110 | Mass Vendor Update | 
| AP115 | Vendor Merge | 
| AP12 | Vendor Comments Maint | 
| AP125 | Batch Release | 
| AP126 | Invoice Registration Release | 
| AP130 | POD Notification | 
| AP131 | Chargeback | 
| AP135 | Vendor/Invoice Audit Report | 
| AP141 | Invoice Hold | 
| AP145 | 1099 Forms Creation | 
| AP146 | 1099 Tape Creation | 
| AP150 | Cash Requirements | 
| AP151 | Bill of Exchange Generation | 
| AP155 | Payment Forms Creation | 
| AP156 | Bill of Exchange Creation | 
| AP160 | Payment Tape Creation | 
| AP161 | Electronic Payment Creation | 
| AP166 | Bill of Exchange Bank Stmt | 
| AP167 | Bill of Exchange Cashing Stmt | 
| AP170 | Payment Closing | 
| AP175 | Invoice Distribution Closing | 
| AP176 | Match Discount Posting | 
| AP177 | Financial Reporting Update | 
| AP180 | Bill of Exchange Cashing Upd | 
| AP181 | Bill of Exchange Stmt Update | 
| AP185 | Bill of Exchange Distribution | 
| AP190 | Invoice Reinstatement | 
| AP191 | Unrealized Gain/Loss | 
| AP193 | Recurring Invoice Update | 
| AP195 | Period Closing | 
| AP197 | Vendor Balance Rebuild | 
| AP198 | Invoice Data Archival | 
| AP199 | Vendor Balance Year End | 
| AP20 | Invoice Entry | 
| AP200 | Vendor Group-Company Listing | 
| AP201 | Pay Group Listing | 
| AP202 | Process Group Listing | 
| AP205 | Accounts Payable Codes Listing | 
| AP210 | Vendor Listing | 
| AP212 | Comments Listing | 
| AP213 | Vendor Account Balance | 
| AP214 | Bill of Exchange Maturity List | 
| AP22 | Invoice Windows | 
| AP220 | Invoice Edit Report | 
| AP23 | In Transit Invoice Entry | 
| AP230 | Open Payables Report | 
| AP236 | Invoice Payment Approval Edit | 
| AP240 | Hold Payments Report | 
| AP245 | Reportable Income Report | 
| AP25 | Batch And Invoice Control | 
| AP250 | Cash Forecasting | 
| AP251 | Match Statistical Report | 
| AP252 | Unmatched Invoice Listing | 
| AP255 | Bank Account Payment History | 
| AP26 | Invoice Registration Release | 
| AP260 | Invoice Accrual Reconciliation | 
| AP265 | Cash Payment Register | 
| AP266 | Bill of Exchange Report | 
| AP27 | Single Invoice Release | 
| AP270 | Vendor Payment History | 
| AP275 | Invoice Distribution History | 
| AP28 | Vendor Draft Acceptance | 
| AP282 | French DAS2 Preparation Report | 
| AP284 | Vendor Grand Livre | 
| AP290 | Vendor Labels | 
| AP30 | Released Invoice Adjustments | 
| AP300 | History Purge | 
| AP305 | AP Company Purge | 
| AP31 | windows | 
| AP32 | Workflow Adjustments | 
| AP35 | Credit Memo Application | 
| AP36 | Invoice Approval | 
| AP40 | Hold Code Maintenance | 
| AP41 | Vendor Hold | 
| AP43 | Single Invoice Hold Maint | 
| AP45 | Vendor Reportable Income Adjus | 
| AP51 | Vendor Maintenance | 
| AP510 | Vendor Conversion | 
| AP52 | Invoice Conversion | 
| AP520 | Invoice Interface | 
| AP53 | Invoice Conversion | 
| AP54 | Vendor Table Maintenance | 
| AP55 | Manual Payment | 
| AP56 | Draft Entry | 
| AP57 | Amount Scripting | 
| AP80 | AP Draft Cashing Selection | 
| AP81 | Manual Forms Reservation | 
| AP90 | Ap Inquiry | 
| AP91 | Vendor Activity | 
| AP92 | Invoice Inquiry | 
| AP93 | Archived Invoices Inquiry | 
| AP95 | Distribution Inquiry | 
| AP96 | Ap Archive Inquiry | 
| APCP | Attachment Comment Routine | 
| APDS | Call program for APDISCACC | 
| APFL | Accounts Payable Flowchart | 
| APH1 | APAPIHIST Attachment Maintt | 
| API1 | Invoke for APRI70PD Object | 
| API2 | Invoke for APCBINVPD Object | 
| API3 | Invoke for APVL80PD Object | 
| API4 | Invoke for APVO80PD Object | 
| API5 | Invoke for APIBAL70PD Object | 
| APIQ | use APFL to access | 
| APPI | use APFL to access | 
| APPR | use APFL to access | 
|  | 
|  | 
| AR00 | Customer Group Maintenance | 
| AR01 | Company Maintenance | 
| AR02 | Process Level Maintenance | 
| AR03 | Process Level Group Maint | 
| AR04 | Cycle | 
| AR05 | Customer Class | 
| AR06 | Credit Analyst | 
| AR07 | Finance Code | 
| AR08 | Customer Defaults | 
| AR09 | Customer Group Address | 
| AR10 | Customer | 
| AR100 | EFT Notification Extract | 
| AR105 | EFT Notification Print | 
| AR11 | Customer Additional Contacts | 
| AR110 | EFT Extract | 
| AR115 | EFT Payment Creation | 
| AR12 | National Account | 
| AR124 | Cash Batch Release Report | 
| AR129 | Automatic Prepayment Apply | 
| AR13 | Micr Customer Cross Reference | 
| AR130 | Automatic Cash Application Aud | 
| AR131 | Automatic Memo Application | 
| AR132 | Application Audit | 
| AR135 | Automatic Transaction Removal | 
| AR136 | Finance Charge Initiation | 
| AR137 | Finance Charge Late Payment | 
| AR14 | Lock Box | 
| AR140 | Dunning Letter Selection | 
| AR141 | Dunning Letter File Generation | 
| AR145 | Dunning Letter File Update | 
| AR15 | Operational Code | 
| AR150 | Statement Print | 
| AR155 | Payment Request Notice Print | 
| AR16 | Hold Code | 
| AR160 | Dunning Letter Select | 
| AR161 | Dunning Letter Print | 
| AR17 | Comments Maintenance | 
| AR170 | Customer Review Selection | 
| AR18 | Dunning Notice | 
| AR180 | Application Reversal Creation | 
| AR19 | Dunning Letter Text Code Maint | 
| AR190 | Application Closing | 
| AR191 | Chargeback Creation | 
| AR194 | Audit Summary | 
| AR196 | Unrealized Gain Loss Report | 
| AR198 | Transaction Status Update | 
| AR199 | Period Closing Report | 
| AR20 | Batch Entry | 
| AR200 | Customer Group Listing | 
| AR201 | Company Process Level Listing | 
| AR203 | Report Group Listing | 
| AR204 | Cycle Listing | 
| AR205 | Customer Class Listing | 
| AR206 | Operational Setup1 Listing | 
| AR207 | Finance Charge Listing | 
| AR208 | Customer Defaults Listing | 
| AR209 | Customer Labels Print | 
| AR21 | Cash | 
| AR210 | Customer Listing | 
| AR211 | Customer Optional Fields Listi | 
| AR212 | National Account Listing | 
| AR213 | MICR Customer Listing | 
| AR214 | Lock Box Listing | 
| AR215 | Operational Setup2 Listing | 
| AR216 | Hold Listing | 
| AR217 | Comments Listing | 
| AR218 | Dunning Text Listing | 
| AR219 | Customer Credit Card Listing | 
| AR220 | Cash Batch Report | 
| AR222 | Customer Cash Report | 
| AR223 | Prepayment Report | 
| AR227 | Unapplied Credit Report | 
| AR228 | Unapplied Unassigned Cash Repo | 
| AR229 | Transferred Transaction Report | 
| AR230 | Payment Application Report | 
| AR232 | Transaction Application Report | 
| AR233 | Unposted Application Report | 
| AR234 | Open Chargeback Report | 
| AR235 | Application Adjustment Report | 
| AR24 | Cash Batch Inquiry Release | 
| AR242 | Unreleased Transaction Report | 
| AR245 | Disputed Transaction Report | 
| AR25 | EFT Adjustments | 
| AR250 | Customer Aging Report | 
| AR251 | Company Aging Report | 
| AR252 | Report Group Aging Report | 
| AR253 | Summary Aging Report | 
| AR255 | National Account Aging Report | 
| AR256 | Receivables Tie Back Report | 
| AR258 | Cash Forecasting Report | 
| AR260 | Customer Add Alert | 
| AR261 | Customer Credit Alert | 
| AR27 | Cash Inquiry Filter | 
| AR271 | Critical Review Report | 
| AR274 | Dunning History Report | 
| AR275 | Credit Exception Report | 
| AR28 | Cash Inquiry maintenance | 
| AR282 | Returned Payment Report | 
| AR286 | Customer Grand Livre | 
| AR287 | Customer Account Balance | 
| AR29 | Cash Transfer | 
| AR290 | Customer Statistic Report | 
| AR291 | Customer Hold Report | 
| AR292 | Customer Inactivity Report | 
| AR293 | Activity History Report | 
| AR294 | Transaction History Report | 
| AR295 | Distribution Report | 
| AR30 | Cash Entry and Application | 
| AR300 | Transaction Purge | 
| AR301 | Customer Purge | 
| AR31 | Application Window Screens | 
| AR35 | Application Adjustment Entry | 
| AR36 | Adjustments Exceeded Review | 
| AR37 | Application Review - Reversal | 
| AR42 | Transaction Entry | 
| AR43 | Invoice Batch Inquiry Release | 
| AR44 | Invoice Obligation Grouping | 
| AR45 | Disputed Transaction | 
| AR46 | Dispute Inquiry | 
| AR48 | AR to AP Interface | 
| AR50 | Customer Aging | 
| AR501 | Customer Conversion | 
| AR502 | Transaction Conversion | 
| AR503 | Payment Conversion | 
| AR504 | Application Conversion | 
| AR505 | Customer Balance Conversion | 
| AR506 | Dispute and Comment Conversion | 
| AR507 | Distribution Conversion | 
| AR53 | Application Inquiry | 
| AR550 | Customer Interface | 
| AR560 | Transaction Interface | 
| AR570 | Lock Box Interface | 
| AR575 | Payment Interface | 
| AR58 | Transaction | 
| AR580 | Payment2 Interface | 
| AR70 | Cust Review Maint By Analyst | 
| AR700 | AR File Update | 
| AR72 | Credit Review | 
| AR74 | Dun Letter Select Maint - ADV | 
| AR75 | Customer Account Summary | 
| AR80 | Payment Application Reversal | 
| AR82 | Returned Payment Maintenance | 
| AR90 | Customer Account Inquiry | 
| AR95 | Distribution Inquiry | 
| AR97 | Interface Transaction Maintena | 
| AR98 | Converted Customer | 
| AR99 | Conversion Record Maintenance | 
| ARCM | Credit Management | 
| ARFL | Accounts Receivable Flowchart | 
| ARI1 | Create ARCOMMENT-append Attach | 
| ARIN | Inquiries | 
| ARPE | AR Day,Period End | 
| ARPF | AR Processing | 
| ARRP | Reports | 
| DA90 | Activity Group AR Inquiry | 
| DA91 | Contract Activity AR Inquiry | 
|  | 
|  | 
| BLI1 | Invoke for OECOMPREF | 
| BLI2 | Invoke for copying attachments | 
| BLI3 | Invoke for deleting attachment | 
|  | 
|  | 
| BN00 | Company Parameters Maintenance | 
| BN01 | Insurance Carriers | 
| BN02 | Rate Table Maintenance | 
| BN03 | Vesting Schedule Maintenance | 
| BN04 | Plan Deduction Frequency Table | 
| BN05 | Letter Maintenance | 
| BN06 | Flex Plan | 
| BN08 | Flexible Benefits Parameters | 
| BN09 | Pay Class Maintenance | 
| BN10 | Deduction Code Maintenance | 
| BN100 | Employee Change Benefit Update | 
| BN101 | Mass Benefit Add | 
| BN102 | Plan Employee Update | 
| BN103 | Mass Benefit Termination | 
| BN104 | Frequency Table Update | 
| BN105 | Plan Update | 
| BN11 | Eligibility Postal Codes | 
| BN12 | Benefits Annual Limits | 
| BN13 | Benefit Plan Categories | 
| BN134 | Current Flex Time Record Delet | 
| BN138 | Vacation Hours Update | 
| BN140 | Savings Bond Purchase Update | 
| BN141 | Stock Purchase Update | 
| BN145 | Flexible Dollars Calculation | 
| BN15 | Benefit Plan | 
| BN150 | Life Insurance Reportable Inco | 
| BN16 | Benefit Waiting Periods | 
| BN17 | Coverage Options | 
| BN170 | Cobra Notification Report | 
| BN171 | Cobra Notification Letters And | 
| BN175 | Cobra/retiree Outstanding Invo | 
| BN18 | Option Contributions | 
| BN180 | Invoice/general Ledger Transac | 
| BN181 | Invoice Print | 
| BN19 | Options Contributions | 
| BN190 | General Ledger Posting Report | 
| BN20 | General Ledger Overrides | 
| BN200 | Company Parameter Listing | 
| BN201 | Insurance Carrier Listing | 
| BN202 | Rate Table Listing | 
| BN203 | Vesting Schedules Listing | 
| BN204 | Deduction Frequency Table List | 
| BN206 | Flex Plan Listing | 
| BN215 | Plan Parameter Listing | 
| BN216 | Benefit Entry Rules Listing | 
| BN220 | Benefit Plan Status Report | 
| BN230 | Plan Participant Report | 
| BN231 | Employee Benefit Report | 
| BN232 | Benefits Statement | 
| BN233 | Participnt/retiree Ben Report | 
| BN236 | Participation Listing | 
| BN237 | Vesting Listing | 
| BN238 | Vacation Hours Purchased/sold | 
| BN240 | Savings Bond Balance Report | 
| BN242 | One Page Benefits Statement | 
| BN245 | Benefit Election Form | 
| BN246 | Flexible Benefit Plan - Partic | 
| BN247 | Beneficiary Listing | 
| BN248 | Savings Bond Beneficiary Repor | 
| BN252 | Benefit Plans Listing | 
| BN258 | Reserve Account Balance By Emp | 
| BN259 | Reserve Account Payment Report | 
| BN270 | Cobra Participant Listing | 
| BN281 | Cash Application Edit Listing | 
| BN285 | Letter Print And Mailing Label | 
| BN30 | Employee Benefit Selection | 
| BN300 | Key Employees Report | 
| BN305 | Highly Compensated Employee Re | 
| BN31 | Benefit Speed Entry | 
| BN310 | Top Heavy Report | 
| BN32 | Benefit Changes | 
| BN320 | Monthly Premium Report | 
| BN321 | Dependent Benefit Listing | 
| BN325 | Benefit Type Exception Report | 
| BN330 | Defined Contribution Distribut | 
| BN331 | HIPAA Certification Report | 
| BN335 | employee deferal report | 
| BN340 | adp test - average deferral pe | 
| BN345 | Minimum Coverage Test - Percen | 
| BN35 | Benefit Change Audit | 
| BN350 | Minimum Coverage Test - Classi | 
| BN36 | Investment | 
| BN400 | Deduction Flat File Creation | 
| BN401 | Flex Time Record Creation | 
| BN430 | Benefit Purge | 
| BN45 | Employee Flexible Dollars Main | 
| BN46 | Flex Credits Inquiry | 
| BN47 | Beneficiary Maintenance | 
| BN48 | Savings Bond Owner/beneficiary | 
| BN480 | Invoice/payment Purge Program | 
| BN50 | Benefit Inquiry By Plan | 
| BN500 | Payroll Interface | 
| BN51 | Benefit Inquiry By Employee | 
| BN510 | Benefits Deduction Load | 
| BN52 | Benefit Plans Inquiry | 
| BN531 | Batch Benefit Enrollment | 
| BN532 | Batch Benefit Enrollment | 
| BN547 | Beneficiaries Conversion | 
| BN55 | Employee Coda Account Balance | 
| BN555 | DB-DC Account Balance Conversi | 
| BN56 | Employee Compensation History | 
| BN57 | Employee Vesting Hours | 
| BN59 | Reserve Account Transactions | 
| BN60 | Employee Savings Bond History | 
| BN61 | Employee Stock Purchase Histor | 
| BN65 | Benefit Simulation | 
| BN66 | Estimated Take Home Pay Calcul | 
| BN67 | Forecasting Defined Contributi | 
| BN70 | Cobra Participant Maintenance | 
| BN700 | BNPAYMENT and BNINVDTL Update | 
| BN71 | Participant Benefit Maint | 
| BN72 | Retiree Benefit Maintenance | 
| BN77 | Benefit History By Participant | 
| BN80 | Manual Invoice Entry | 
| BN81 | Cash Entry/application | 
| BN82 | Transaction Inquiry | 
| BN85 | Free Form Letter Maintenance | 
| BN90 | Comments | 
| BS01 | Annual Enrollment Rules | 
| BS02 | Plan Group | 
| BS03 | Self-service plan rules | 
| BS04 | Coverage Option Dependents | 
| BS05 | Web Benefits New Hire Rules | 
| BS09 | Employee Annual Enrollment Rul | 
| BS10 | Current Benefit Inquiry | 
| BS11 | Employee Flex Dollar Inquiry | 
| BS12 | New Plan Inquiry | 
| BS13 | Election Inquiry for Cov Opt | 
| BS14 | Election Inquiry for Coverage | 
| BS15 | Election Inquiry for Contrib | 
| BS30 | Web Pending Dependent Benefits | 
| BS31 | Web Pending Employee Benefits | 
| BS32 | Stop Benefits | 
| BS531 | Pending Benefit Extract | 
|  | 
|  | 
| BR00 | Activity Billing | 
| BR01 | Retainage | 
| BR02 | Retainer | 
| BR03 | Billing Rates | 
| BR04 | Burden Rates | 
| BR05 | Milestones | 
| BR06 | Invoice Groups | 
| BR07 | Invoice Group Numbering | 
| BR08 | Reason Code | 
| BR10 | Contract | 
| BR11 | Customer | 
| BR12 | Journal Codes | 
| BR120 | Billing Calculation | 
| BR121 | Invoice Print and Interface | 
| BR13 | Additional Contract Info | 
| BR130 | Revenue Calculation | 
| BR131 | Revenue Realization | 
| BR14 | Contacts | 
| BR142 | Mass Transaction Hold | 
| BR165 | Contract Percent Complete Calc | 
| BR20 | Invoice Edit | 
| BR200 | Billing Listing | 
| BR202 | Retainer Listing | 
| BR203 | Billing Rate Listing | 
| BR204 | Burden and Provisional Rates | 
| BR205 | Milestone Listing | 
| BR208 | Reason Code Listing | 
| BR21 | Invoice Cancel | 
| BR210 | Contract Listing | 
| BR211 | Activity Customer Listing | 
| BR212 | Contract Modification List | 
| BR220 | Invoice Audit Listing | 
| BR265 | Contract Percent Complete Rpt | 
| BR40 | Write UpDown | 
| BR400 | Billing History | 
| BR405 | Milestone Analysis | 
| BR41 | Transaction Analysis | 
| BR42 | Unbilled AR Requirements | 
| BR420 | Billing Invoice Report | 
| BR43 | BR43 - future program | 
| BR430 | Revenue History | 
| BR44 | T and M Smart Select | 
| BR450 | Unbilled Activity Aging Report | 
| BR65 | Contract Percent Complete | 
| BRAH | Invoice Attachment Retrieval | 
| BRBF | Billing and Revenue Flowchart | 
| BRCC | Contract Percent Complete | 
| BRFL | Activity Billing Flowchart | 
| BRIP | Invoice Print Program | 
| BRRF | Bill and Revenue Flowchart II | 
|  | 
|  | 
| CB00 | Bank Setup | 
| CB01 | Credit Risk | 
| CB02 | Bank Transfer Table | 
| CB03 | Cash Receipt Category | 
| CB04 | Cash Ledger Security | 
| CB05 | Journal Book for Cash Code | 
| CB06 | Bank Statement | 
| CB10 | Cash Receipt Deposit | 
| CB11 | Define Cash Code Group | 
| CB15 | Bank Fund Transfer | 
| CB175 | Bank Transaction Posting | 
| CB180 | Cash Ledger Void Update | 
| CB185 | Bank Tape Mass Reconciliation | 
| CB190 | Bank Period Close | 
| CB191 | Bank Statement Close | 
| CB195 | Company Period Close | 
| CB20 | Bank Transaction Entry | 
| CB210 | Cash Receipt Deposit Listing | 
| CB211 | Cash Code Group Listing | 
| CB215 | Bank Transfer Listing | 
| CB220 | Bank History Report | 
| CB221 | Bank Transaction Listing | 
| CB25 | Manual Reconciliation Entry | 
| CB260 | Cash Account Activity | 
| CB30 | Reconciliation Adjustment | 
| CB300 | History Purge | 
| CB500 | Bank Transaction Interface | 
| CB80 | Bank Transaction Adjustment | 
| CB85 | Tape Payment Rejection | 
| CB90 | Cash Book Inquiry | 
| CB99 | Balance Update | 
| CBFL | Cash Ledger Flowchart | 
|  | 
|  | 
| CX01 | Case Company Entry | 
| CX04 | Practitioner | 
| CXCP | Copy preference to case | 
|  | 
|  | 
| DA113 | Update Emp Training by Positn | 
| DA13 | Training by Position | 
| DA213 | Training by Position Report | 
|  | 
|  | 
| DT150 | Selection, Generation of Bill | 
| DT155 | Bill of Exchange Print - Tape | 
| DT160 | Remittance Selection | 
| DT161 | BOE Remittance Selection - Tap | 
| DT165 | Generation of Bank Remittance | 
| DT166 | Generation of French BOE Bank | 
| DT17 | BOE Comments | 
| DT170 | Risk Review | 
| DT180 | Bank Presentation, Cashing Upd | 
| DT181 | Bank Presentation Cashing Upda | 
| DT185 | Process Dishonored BOEs | 
| DT190 | Bill of Exchange Closing | 
| DT220 | Customer BOE Maturity Listing | 
| DT270 | Bill of Exchange Risk Report | 
| DT280 | Bill Of Exchange Listing | 
| DT30 | Draft Acceptence | 
| DT40 | Customer Draft Entry | 
| DT42 | Bill of Exchange Maintenance | 
| DT45 | Bill of Exchange Cancellation | 
| DT52 | Draft Interface Maintenance | 
| DT520 | Bill of Exchange Interface | 
| DT60 | Draft Remittance Selection | 
| DT70 | Remittance Maintenance | 
| DT80 | Draft Cashing Selection | 
| DT85 | Cashing  NO REMITTANCE | 
| DT90 | Dishonor Drafts | 
| DT92 | Dishonored Resolution | 
| DT95 | Bill Of Exchange Inquiry | 
|  | 
|  | 
|  | 
|  | 
| EE05 | Employee Expense Codes | 
| EE135 | Mass Employee Release | 
| EE175 | Company Expense Posting | 
| EE20 | Employee Expense Report Entry | 
| EE220 | Advance Edit | 
| EE230 | Employee Expense/Advance Repor | 
| EE235 | Expense Release Edit | 
| EE275 | Expense Analysis Report | 
| EE30 | Expense Advance Matching | 
| EE35 | Employee Expense Approval | 
| EE52 | Expense Update | 
| EE520 | Expense Interface | 
| EE90 | Advance Inquiry | 
| EEI1 | EE Comment Routine | 
| EESU | EE Processing Flowchart | 
| ET01 | Expense Categories | 
| ET02 | Non Travel Expense | 
| ET03 | Travel Expense | 
|  | 
|  | 
|  | 
|  | 
| CA00 | Allocation Group Maintenance | 
| CA05 | Allocation Code Maintenance | 
| CA10 | Allocation  Maintenance | 
| CA110 | Allocation Calculation | 
| CA15 | Allocation Control Maintenance | 
| CA190 | Allocation Interface | 
| CA195 | Budget Allocation Interface | 
| CA199 | Allocation Closing | 
| CA200 | Allocation Group Listing | 
| CA205 | Allocation Code Listing | 
| CA210 | Allocation Edit Listing | 
| CA215 | Allocation Control Listing | 
| CA240 | Allocation Comparison | 
| CA290 | Allocation Ledger | 
| DA290 | GL Transaction Ledger Report | 
| FB01 | User Class Maintenance | 
| FB10 | Spread Code Maintenance | 
| FB100 | Budget Calculation - Computes | 
| FB101 | Budget Calculation - Rates | 
| FB11 | Budget Edit Group | 
| FB120 | Intracompany Mass Budgeting | 
| FB121 | Intercompany Mass Budgeting | 
| FB122 | Budget Version | 
| FB141 | Remote Budget Consolidation | 
| FB165 | Budget Interface | 
| FB190 | Budget Double Entry Posting | 
| FB195 | Translation Calculation | 
| FB20 | Budget Maintenance | 
| FB201 | User Class Listing | 
| FB21 | Budget Maintenance | 
| FB210 | Spread Code Listing | 
| FB211 | Budget Edit Group Listing | 
| FB220 | Budget Listing | 
| FB225 | Budget Control Report | 
| FB230 | Computed by Acct Unit Listing | 
| FB231 | Computed by Account Listing | 
| FB240 | Budget Journal Edit Listing | 
| FB25 | Budget Control | 
| FB265 | Budget Interface Listing | 
| FB295 | Budget to Budget Analysis | 
| FB296 | Budget Audit | 
| FB30 | Computed Budget Maintenance By | 
| FB31 | Computed Budget Maintenance By | 
| FB40 | Budget Journal Entry | 
| FB45 | Budget Journal Entry Control | 
| FB65 | Budget Interface Maintenance | 
| FB95 | Budget Analysis | 
| GL04 | Reconciliation Code | 
| GL100 | Mass Chart Acct Change Delete | 
| GL110 | Company Copy Delete | 
| GL120 | Level Reorganization | 
| GL122 | Mass Account Change Delete | 
| GL130 | Chart Map Creation | 
| GL135 | Intercompany Chart Map Posting | 
| GL141 | Consolidation Unload | 
| GL145 | Journal Entry Hold Release | 
| GL146 | Journal Backout and Unrelease | 
| GL147 | General Journal Report | 
| GL165 | Transaction Interface | 
| GL167 | Balance Interface | 
| GL170 | Recurring Journal Interface | 
| GL179 | Recurring Journal Closing | 
| GL190 | Journal Posting | 
| GL191 | Currency Revaluation | 
| GL195 | Translation Calculation | 
| GL196 | Report Currency Translation | 
| GL197 | GL Commitment Period Closing | 
| GL199 | Period Closing | 
| GL204 | Reconciliation Code Listing | 
| GL215 | Chart Compare | 
| GL230 | Interzone Relationship Listing | 
| GL235 | AR Currency Rounding GL Report | 
| GL238 | Split Distribution Report | 
| GL240 | Journal Edit Listing | 
| GL241 | Period Transaction Listing | 
| GL243 | Daily Transaction Listing | 
| GL245 | Journal Control Report | 
| GL247 | Centralization Book Report | 
| GL250 | Ledger Report Listing | 
| GL255 | Transaction Writer Listing | 
| GL256 | Transaction Writer Report | 
| GL265 | Transaction Interface Listing | 
| GL267 | Balance Interface Listing | 
| GL270 | Recurring Journal Edit Listing | 
| GL275 | Recurring Journal Control Repo | 
| GL281 | French Trial Balance | 
| GL284 | AP Grand Livre Report - Period | 
| GL285 | AP Grand Livre Report - Date | 
| GL286 | AR Grand Livre Report - Period | 
| GL287 | AR Grand Livre Report - Date | 
| GL288 | GL Grand Livre Report - Period | 
| GL289 | GL Grand Livre Report - Date | 
| GL290 | General Ledger Report | 
| GL291 | Trial Balance | 
| GL292 | Balance Sheet | 
| GL293 | Income Statement | 
| GL294 | Projection by Level | 
| GL295 | Projection by Account | 
| GL296 | Currency Exposure Report | 
| GL297 | Posting Sequence Number Report | 
| GL298 | GL Commitment Analysis Report | 
| GL30 | Interzone Account Maintenance | 
| GL300 | General Ledger History Delete | 
| GL310 | Report Currency Purge | 
| GL320 | Consolidation File Creation | 
| GL325 | GLAMOUNTS, GLUNITS File Rebui | 
| GL326 | GLAMOUNTSX, GLUNITSX File Reb | 
| GL327 | Report Currency File Rebuild | 
| GL328 | Daily Report Currency Rebuild | 
| GL330 | Undistributed RE Rebuild | 
| GL35 | Chart Map Maintenance | 
| GL36 | Fiscal Year Mapping | 
| GL40 | Journal Entry | 
| GL41 | Ledger Journal Entry Inquiry | 
| GL43 | Daily Transaction Analysis | 
| GL44 | Report Currency Entry | 
| GL45 | Journal Entry Control | 
| GL50 | General Ledger Report Creation | 
| GL500 | Fiscal Year Change | 
| GL55 | Transaction Writer | 
| GL65 | Transaction Interface Maint | 
| GL67 | Balance Interface Maintenace | 
| GL70 | Recurring Journal Entry/mainte | 
| GL75 | Recurring Journal Entry Contro | 
| GL85 | Ratio Analysis Inquiry | 
| GL90 | Transaction Analysis | 
| GL94 | Commitment Analysis | 
| GL95 | Account Analysis | 
| GL96 | Query of Accounting Units | 
| GL97 | Query of Accounts | 
| GL98 | Query of Companies | 
| GL99 | Organization Query | 
| GLCC | Create Comments module | 
| GLFL | General Ledger Flowchart | 
| GLSC | GL Security | 
| GLSR | GL Security Report | 
| GLSV | Set View | 
| JB240 | Journal Book Report | 
| RW00 | Report Writer | 
| RW01 | Folders | 
| RW02 | Process Group | 
| RW03 | User Class | 
| RW04 | Stylesheet | 
| RW10 | Rows | 
| RW100 | Report Generation | 
| RW11 | Report Writer Header | 
| RW20 | Formats | 
| RW200 | Report Listing | 
| RW201 | Folder Listing | 
| RW202 | Process Group Listing | 
| RW203 | User Class Listing | 
| RW205 | Data Dictionary Listing | 
| RW210 | Row Listing | 
| RW215 | Row Chart Compare | 
| RW220 | Format Listing | 
| RW230 | Ratio Listing | 
| RW240 | Group Listing | 
| RW250 | Compute Listing | 
| RW260 | Total Range Listing | 
| RW270 | Total Name Listing | 
| RW298 | Usage Report | 
| RW299 | Detail Report Listing | 
| RW30 | Ratios | 
| RW40 | Groups | 
| RW50 | Compute Statement | 
| RW590 | Data Dictionary Load | 
| RW60 | Total Range | 
| RW70 | Totals | 
| RW80 | RW Drill Back | 
|  | 
|  | 
| HC01 | Compensation Data Mart Dimens | 
| HC02 | Headcount-Turnover Setup | 
| HCAC | Data Mart Activity Load | 
| HCAG | Comp Data Mart Age Load | 
| HCCL | Data Mart SalClass Load | 
| HCCP | Comp Data Mart Org Load | 
| HCEC | Comp Data Mart EEO-Class Load | 
| HCEM | Comp Data Mart Emp Load | 
| HCEO | Comp Data Mart EEO-Categ Load | 
| HCEX | Data Mart Exempt Load | 
| HCGL | Data Mart GL Load | 
| HCGN | Comp Data Mart Gender Load | 
| HCJC | Comp Data Mart Job-Code Load | 
| HCLO | Comp Data Mart Location Load | 
| HCMS | Comp Data Mart Measures Load | 
| HCOB | Comp Data Mart Outline Build | 
| HCOP | Comp Data Mart Data Load | 
| HCPL | Data Mart PayPlan Load | 
| HCPO | Comp Data Mart Position Load | 
| HCRV | Comp Data Mart Perf-Rate Load | 
| HCSC | Comp Data Mart Schedule Load | 
| HCSH | Data Mart Shift Load | 
| HCST | Data Mart EmpStatus Load | 
| HCSU | Comp Data Mart Supervisor Load | 
| HCTM | Data Mart Time Load | 
| HCUF | Data Mart UserField Load | 
| HCUL | Comp Data Mart User-Lev Load | 
| HCUN | Comp Data Mart Union Load | 
| HCYR | Comp Data Mart Years Load | 
|  | 
|  | 
| ES01 | Comments | 
| ES02 | Employee Personal Selects | 
| ES10 | Family Status Change History | 
| HACV | Activity Selection Invoke | 
| HAP2 | App Opt 2 Selection Invoke | 
| HAP3 | Apl Opt 3 Selection Invoke | 
| HAPL | Applicant Selection Invoke | 
| HATC | Attend Class Selection Invoke | 
| HAXX | Activity-Acct Cate Selection | 
| HBAC | Bank Account Selection Invoke | 
| HBFL | Bank Code Selection Invoke | 
| HCTC | HRCTRYCODE Select Invoke | 
| HCUC | Currency Selection Invoke | 
| HCVO | Cov Option Selection Invoke | 
| HDCL | Ded Class Selection Invoke | 
| HDDC | Deduction Selection Invoke | 
| HDPT | Department Select Invoke | 
| HEMD | Dependent Selection Invoke | 
| HEMP | Employee Selection Invoke | 
| HEMS | Employee Status Select Invoke | 
| HEP2 | Emp Opt 2 Selection Invoke | 
| HEP3 | Emp Opt 3 Selection Invoke | 
| HEP4 | Emp Opt 4 Selection Invoke | 
| HFLP | Flex Plan Selection Invoke | 
| HGDT | Account Selection Invoke | 
| HGLM | Account Selection Invoke | 
| HGLN | Acct Unit Selection Invoke | 
| HGLS | Dist Comp Selection Invoke | 
| HHCN | Additional Contacts Select Inv | 
| HHSU | Supervisor Select Invoke | 
| HINT | INSTRYCD Select Invoke | 
| HJBC | Job Code Select Invoke | 
| HJCL | Job Class Selection Invoke | 
| HOSH | OSHA Selection Invoke | 
| HPAE | Contact Selection Invoke | 
| HPAT | Action Code Selection Invoke | 
| HPBG | Prbusgrp Selection Invoke | 
| HPCD | Pay Code Selection Invoke | 
| HPCL | Pay Class Selection Invoke | 
| HPCO | PCODES Select Invoke | 
| HPJR | Requisition Selection Invoke | 
| HPLC | Plan Class Selection Invoke | 
| HPLM | Plan Name Selection Invoke | 
| HPLN | Plan Code Selection Invoke | 
| HPOS | Position Selection Invoke | 
| HPPV | PRPROVINCE Select Invoke | 
| HPQC | Prqcentgrp Selection Invoke | 
| HPRG | Employee Grp Selection Invoke | 
| HPRO | Pay Code Selection Invoke | 
| HPRS | Process Level Select Invoke | 
| HPRX | PRTAXAUTH Select Invoke | 
| HPSA | PRSTATE Select Invoke | 
| HPSG | Pay Sum Grp Selection Invoke | 
| HPXC | Tax Category Selection Invoke | 
| HR00 | Company Parameters Maintenance | 
| HR01 | Process Level Maintenance | 
| HR02 | Department Maintenance | 
| HR03 | Employee Status Maintenance | 
| HR04 | Hr Codes Maintenance | 
| HR05 | Job Class Maintenance | 
| HR06 | Job Codes | 
| HR07 | Supervisor | 
| HR08 | Payroll Processing Groups | 
| HR09 | Security Level | 
| HR10 | Data Item Attributes | 
| HR105 | Employee Audit Report | 
| HR11 | Employee Maintenance | 
| HR12 | Employee Security Class Maint | 
| HR125 | Employee Audit Purge | 
| HR13 | Employee Dependents | 
| HR130 | Correspondence Purge | 
| HR14 | Additional Positions | 
| HR15 | Employee-Applicant User Fields | 
| HR155 | Employee Group Update | 
| HR16 | State Information | 
| HR17 | State Information | 
| HR170 | HR Writer Report Request | 
| HR18 | State Information | 
| HR20 | Additional Contact Numbers | 
| HR200 | Company Listing | 
| HR201 | Process Level Listing | 
| HR202 | Department Listing | 
| HR203 | Employee Status Listing | 
| HR204 | HR Code Listing | 
| HR205 | Job Class Listing | 
| HR206 | Job Code Listing | 
| HR207 | Supervisor Listing | 
| HR208 | Processing Group Listing | 
| HR209 | Security Level Listing | 
| HR210 | Data Item Attribute Listing | 
| HR211 | Employee Listing | 
| HR212 | Employee Security Class List | 
| HR213 | Employee Dependent Listing | 
| HR217 | Work Eligibility Listing | 
| HR220 | Additional Contact Listing | 
| HR230 | Correspondence Tracking Listng | 
| HR255 | Employee Group Listing | 
| HR30 | Correspondence Tracking | 
| HR403 | Country Specific HR Code List | 
| HR506 | Job Code Conversion | 
| HR507 | Supervisor Conversion | 
| HR511 | Employee Conversion | 
| HR513 | Dependent File Load CSV | 
| HR514 | Alternate Rates Conversion | 
| HR515 | User Field Conversion | 
| HR521 | Employee History Conversion | 
| HR54 | Employee History Correction | 
| HR55 | Employee Group Maintenance | 
| HR60 | Author Maintenance | 
| HR64 | Title Search | 
| HR65 | Hr Writer Set Up | 
| HR650 | AcuStaf Interface | 
| HR67 | Compute Statement Maintenance | 
| HR68 | Hr Writer Data Item Security | 
| HR70 | Hr Writer Inquiry | 
| HR701 | History, Dependent Update | 
| HR702 | PL,Dept,Emp Status-Status Upd | 
| HR79 | Currency Calculation | 
| HR80 | HR Codes | 
| HR81 | HR Codes | 
| HR82 | HR Codes | 
| HR83 | HR Codes | 
| HR84 | HR Codes | 
| HR85 | HR Codes | 
| HR86 | HR Codes | 
| HR87 | HR Codes | 
| HR88 | HR Codes | 
| HR89 | HR Codes | 
| HR90 | Comments | 
| HR91 | HR Codes | 
| HR99 | Messages | 
| HRCL | Invoke: Compa Ratio,Pct of Rng | 
| HREF | Reference Selection Invoke | 
| HRHI | History Retrieval Routine | 
| HRLO | History Logging Routine | 
| HRPH1 | HR Suite Padict Phrase Load1 | 
| HRPH2 | HR Suite Padict Phrase Load2 | 
| HRPH3 | HR Suite Padict Phrase Load3 | 
| HRPH4 | HR Suite Padict Phrase Load4 | 
| HRPRG | PreDelivery Purge | 
| HRQC | Required Code Selection Invoke | 
| HRS1 | Select Control | 
| HRSC | Select Control | 
| HRST | String Formatting Routine | 
| HRSU | Human Resources Set-Up | 
| HS10 | Direct Report Inquiry | 
| HSGD | Pay Step Selection Invoke | 
| HSGH | Schedule Selection Invoke | 
| HVAL | Value List Select Invoke | 
| HVTB | Vendor Selection Invoke | 
| HWCA | CA Workers Comp Select Invoke | 
| HWCC | Workers CC Selection Invoke | 
|  | 
|  | 
| IAAH | Dimension Attribute Inquiry | 
| IAAP | Dimension Definition Interface | 
| IADE | Invoked Dimension Edit | 
| IAFM | Invoked Data Fix Member | 
| IALL | Invoked Lawson Locales | 
| IART | Request Time Parameters | 
| IATS | Invoke Data Load Time Storage | 
|  | 
|  | 
| DR100 | Distribution Requirements Repo | 
| DR25 | Planned Orders | 
| DR40 | Time Phased Order Point | 
| DR42 | Time Phased Order Point Buyer | 
| IC00 | Item Group | 
| IC01 | Company | 
| IC02 | Location | 
| IC03 | Report Group | 
| IC04 | General Ledger Category | 
| IC05 | Sales Class | 
| IC06 | Inventory Class | 
| IC07 | Purchasing Class | 
| IC08 | Generic Names | 
| IC09 | Hazardous Codes | 
| IC10 | Formats | 
| IC11 | Item Master | 
| IC110 | Intransit Shipping | 
| IC12 | Item Location | 
| IC120 | EOQ and Reorder Calculation | 
| IC125 | Standard Cost Valuation | 
| IC13 | Item Substitutes | 
| IC130 | General Ledger Interface | 
| IC131 | Build Stock Ledger,Purch Journ | 
| IC134 | Inventory Turnover | 
| IC135 | Inventory Turnover by Issues | 
| IC138 | Bin Replenishment Report | 
| IC14 | Manufacturer Code | 
| IC140 | Vendor Reorder Advice | 
| IC141 | Location Replenishment Report | 
| IC142 | Replenishment by Requisition P | 
| IC143 | Finished Good Replenishment | 
| IC145 | Stock Status Report | 
| IC15 | Bin Definition | 
| IC150 | Movement Analysis - Cost | 
| IC151 | Movement Analysis - Sales | 
| IC152 | Movement Analysis - GMROI | 
| IC17 | Reason Codes | 
| IC170 | Freeze Selected Items | 
| IC175 | Update Variances | 
| IC179 | Delete Freeze Records | 
| IC18 | Item Comments | 
| IC180 | Dictionary Setup | 
| IC182 | Par Location Utilization | 
| IC183 | Par Level Load | 
| IC19 | Forecasts | 
| IC190 | Closing | 
| IC191 | Item Master Audit Trail | 
| IC192 | Item Location Audit Trail | 
| IC199 | Subsystem Close | 
| IC20 | Receipts | 
| IC200 | Item Group Listing | 
| IC201 | Company Listing | 
| IC202 | Location Listing | 
| IC203 | Report Group Listing | 
| IC204 | General Ledger Category Listin | 
| IC205 | Sales Class Listing | 
| IC206 | Inventory Class Listing | 
| IC207 | Purchase Class Listing | 
| IC208 | Generic Name Listing | 
| IC209 | Hazard Code Listing | 
| IC21 | Issues | 
| IC210 | Item Master Listing | 
| IC211 | Item Location Listing | 
| IC212 | Item Comments Listing | 
| IC213 | Item Substitutes Listing | 
| IC215 | Bin Listing | 
| IC217 | Reason Code Listing | 
| IC219 | Forecast Listing | 
| IC22 | Transfers | 
| IC220 | Transaction History Report | 
| IC221 | Open Intransit Report | 
| IC222 | Unreleased Documents | 
| IC223 | Availability Report | 
| IC224 | Gross Margin Return on Investm | 
| IC225 | Inventory Reorder Advice | 
| IC226 | Leadtime Review Report | 
| IC227 | Potential Obsolete | 
| IC228 | Potential Overstock | 
| IC229 | Transactions by Reason Code | 
| IC23 | Intransit Receiving | 
| IC230 | Lot Status Report | 
| IC232 | Serial Status Report | 
| IC233 | Inventory Valuation | 
| IC234 | Period End Valuation | 
| IC236 | Freight Class Listing | 
| IC237 | Unapproved Bin Report | 
| IC238 | Bin Stock on Hand Report | 
| IC239 | Forecast Variance | 
| IC24 | Adjustments | 
| IC240 | General Ledger Audit Report | 
| IC241 | Bin Reorder Policy Listing | 
| IC242 | Transaction Audit Report | 
| IC243 | Killed Item Report | 
| IC25 | Document Release | 
| IC26 | Bin Transfers | 
| IC260 | Kit Assembly Listing | 
| IC262 | Finished Good Listing | 
| IC263 | Burden Listing | 
| IC27 | Lot Hold Control | 
| IC270 | Count Sheets | 
| IC271 | Select ID Listing | 
| IC28 | Cost Adjustments | 
| IC280 | Distribution History Report | 
| IC281 | Par Inventory Worksheet | 
| IC283 | Par Location Valuation | 
| IC284 | Variance Explanations | 
| IC286 | Accuracy Progress | 
| IC289 | Batch Handheld Stop of IC588 | 
| IC29 | Lot Serial Bin Entry | 
| IC290 | Item Format Listing | 
| IC295 | Count Control Status | 
| IC30 | Item Search | 
| IC300 | Inventory Purge | 
| IC31 | Item Location Balances | 
| IC311 | ITEMASTOUT Purge | 
| IC320 | Mass Item Location Copy | 
| IC330 | Item Mass Change | 
| IC35 | Inquiry Formats | 
| IC36 | User Defined Item Inquiry | 
| IC38 | Bin Reorder Policy | 
| IC39 | Freight Class | 
| IC40 | Availability By Location | 
| IC41 | Items Within A Bin | 
| IC42 | Stock On Hand Detail | 
| IC43 | Bin Type Inquiry | 
| IC45 | Stock Status | 
| IC47 | Cost History | 
| IC48 | Open Intransits | 
| IC49 | Usage History | 
| IC50 | Transaction History | 
| IC500 | Transaction Interface | 
| IC51 | Available Bin Space | 
| IC519 | Forecast Interface | 
| IC52 | Serial Or Lot History | 
| IC520 | Handheld Item Master Interface | 
| IC521 | Bar Code Item Master Interface | 
| IC522 | HL7 Item Master - Atwork | 
| IC523 | HL7 Item Master - OmniCell | 
| IC524 | CSV Item Master | 
| IC525 | HL7 Item Master Interface | 
| IC526 | HL7 Item Master - HBOC/SSG | 
| IC527 | HL7 Item Master - DBS | 
| IC53 | Document Inquiry | 
| IC530 | Prescient Extract From Lawson | 
| IC531 | Prescient Extract To Lawson | 
| IC54 | Inventory Control Adjustment | 
| IC550 | Overallocated Items | 
| IC57 | Physical Inventory Table Fix | 
| IC574 | Physical Inventory Interface | 
| IC588 | Handheld Processing | 
| IC589 | Forecast Transfer | 
| IC59 | Create Label Entry | 
| IC590 | Out of Stock Extract | 
| IC598 | Bin Label Export | 
| IC599 | Label Print Export | 
| IC60 | Kit Assembly | 
| IC61 | Kit Component Replacement | 
| IC62 | Finished Goods | 
| IC63 | Burdens | 
| IC65 | Component Where Used | 
| IC67 | Kit Availability | 
| IC68 | Finished Good Availability | 
| IC70 | Select Ids | 
| IC72 | Counts By Page | 
| IC73 | Count Detail | 
| IC74 | Random Counts | 
| IC76 | Variance Reasons | 
| IC78 | Select Id Status | 
| IC780 | Update OBJ-ID in ITEMMAST | 
| IC781 | Fill ENTERED-ITEM on ICTRANS | 
| IC81 | Cart Par Location | 
| IC811 | Item Master Load | 
| IC812 | Item Location Load | 
| IC82 | Par Location Item Mass Change | 
| IC820 | Beginning Balance Load | 
| IC83 | Par Location Counts | 
| IC840 | Cart Par Location Conversion | 
| IC841 | General Ledger Category Conver | 
| IC850 | Transaction Load | 
| IC851 | History Load | 
| IC88 | Handheld Processing Parameters | 
| IC89 | Handheld Start - Stop of IC588 | 
| IC90 | Bin Transfers | 
| IC95 | Receipts | 
| ICCP | IC Company edit | 
| ICFL | Inventory Control Flow Chart | 
| ICFM | Inventory Flow Chart Reports | 
| ICI1 | UOM Routines Object | 
| ICI4 | ITEMUPC Invoked Object | 
| ICI5 | ITEMUPN1 Invoked Object | 
| ICI6 | ITEMUPN2 Invoked Object | 
| ICI7 | ITEMSKU Invoked Object | 
| ICI8 | Lookup Item by Alternate Code | 
| ICIG | Edit Item Category | 
| ICIT | Edit item | 
| ICLC | Item Location Lookup | 
| PC08 | Price Class | 
| PC10 | Patient Charge Items | 
| PC120 | Price Calculation | 
| PC20 | Patient and Charges | 
| PC210 | Patient Charge Reconciliation | 
| PC310 | Patient Purge | 
| PC320 | Patient Charges Purge | 
| PC520 | Patient Upload | 
| PC521 | HL7 ADT Patient Interface | 
| PC530 | Patient Charge Download | 
| PC540 | Patient Charge Upload | 
| PC810 | Patient Charge Item Conversion | 
| SEA1 | Item listing build for webreqs | 
|  | 
|  | 
| CU00 | Currency Table | 
| CU01 | Currency Codes | 
| CU02 | Currency Relationships | 
| CU03 | Currency Relationship Accounts | 
| CU05 | Translation Codes | 
| CU10 | Conversion Rates | 
| CU160 | Currency Rate Interface | 
| CU161 | Interface Translation Rates | 
| CU20 | Translation Rates | 
| CU201 | Currency Codes Listing | 
| CU202 | Currency Relationship Listing | 
| CU203 | Company Currency Gain/Loss Acc | 
| CU205 | Translation Code Listing | 
| CU210 | Exchange Rate Listing | 
| CU220 | Translation Rate Listing | 
| CU260 | Currency Rate Interface Listin | 
| CU261 | Translation Interface Listing | 
| CU300 | Currency Rate History Delete | 
| CU60 | Currency Rate Interface Maint | 
| CU61 | Translation Interface Maint | 
| FB00 | Global Factors | 
| FB200 | Global Factors Listing | 
| GL00 | Chart of Accounts | 
| GL01 | System Control Maintenance | 
| GL02 | Subaccount Definition | 
| GL03 | View Chart of Accounts | 
| GL05 | Source Code Maintenance | 
| GL08 | Organization Relationship Mnt | 
| GL09 | Account Relationship Mnt | 
| GL10 | Company | 
| GL105 | System, Source Code Load | 
| GL106 | Subledger Attribute Load | 
| GL107 | Country Code Load | 
| GL11 | Define Company Group | 
| GL12 | Journal Hold Codes | 
| GL121 | Mass Account Addition | 
| GL123 | Acct Unit Template Conversion | 
| GL124 | Mass Accounting Unit Addition | 
| GL13 | Subaccount Template | 
| GL14 | Accounting Unit Template Def | 
| GL15 | GLMONITOR | 
| GL16 | Account Attributes | 
| GL160 | Chart of Accounts Interface | 
| GL161 | Accounting Unit Interface | 
| GL162 | AU Attribute Interface | 
| GL19 | Language Code Maintenance | 
| GL198 | Non-GL Period Closing | 
| GL20 | Accounting Units | 
| GL200 | Chart of Accounts Listing | 
| GL201 | System Control Listing | 
| GL205 | Source Code Listing | 
| GL208 | Organization Relationship List | 
| GL209 | Account Relationship Listing | 
| GL21 | Query List Members | 
| GL210 | Company Listing | 
| GL211 | Company Group Listing | 
| GL213 | Subaccount Template Listing | 
| GL214 | Accounting Unit Template List | 
| GL216 | Acct Unit-Accts Template List | 
| GL219 | Language Code Listing | 
| GL22 | Query Account List Members | 
| GL220 | Accounting Unit Listing | 
| GL221 | Posting Accounts Listing | 
| GL222 | Posting Accounts Listing by Ac | 
| GL223 | Template Conversion Listing | 
| GL225 | Intercompany Relationship List | 
| GL23 | Template Acct Unit Maintenance | 
| GL24 | Auto Reorg Level Address Maint | 
| GL25 | Intercompany Account Maint | 
| GL260 | Chart Interface Listing | 
| GL261 | Acct Unit Interface Listing | 
| GL262 | AU Attribute Interface Listing | 
| GL311 | Remote Site GL Transaction Upl | 
| GL312 | Glitrans Load from 61 to 80 | 
| GL313 | Glitrans Load from 60 to 80 | 
| GL342 | Journal Entry Log Mass Delete | 
| GL38 | Recurring Journal Interface | 
| GL42 | Journal Entry Log | 
| GL60 | Chart Interface Maintenance | 
| GL61 | Acct Unit Interface Maint | 
| GL62 | AU Attribute Interface Maint | 
| GL721 | GLNAMES PARENT-OBJ-ID rebuild | 
| GL722 | GL and MX ACCNT OBJ-ID FIX | 
| GLAC | GL Build Account Matrix List | 
| GLAV | GL Build Account View | 
| GLBA | Build Product Dimension | 
| GLBD | Build Daily Year Dimension | 
| GLBL | GL Build Acct Unit Matrix List | 
| GLBP | Build Period Dimension | 
| GLBT | Build Type Dimension | 
| GLBY | Build Year Dimension | 
| GLCV | GL Chart View Build | 
| GLDE | Financial Data Mart Edit | 
| GLDM | Financial Data Mart Setup | 
| GLDX | Daily Rpting Data Mart Setup | 
| GLEX | General Ledger Explorer | 
| GLOP | Financial OLAP Data Build | 
| GLRV | GL RW Value Retrieval Routine | 
| GLSU | General Ledger Basic Flowchart | 
| GLVW | GL Build Acct Unit View | 
| IF15 | IFMONITOR Maintenance | 
| IFAC | General Ledger Account Edit | 
| IFAS | Accounts Dimension | 
| IFAU | GL Accounting Unit Edit | 
| IFBA | Build Account Dimension | 
| IFBC | Build Currency Dimension | 
| IFBO | Build Organization Dimension | 
| IFBS | Build Scenario Dimension | 
| IFCU | Currency Calculation | 
| IFEM | Edit Mask logic for defaulting | 
| IFEO | Organization Dimension Edit | 
| IFFC | Gt70disk Filename Create | 
| IFGT | GLTRANS Interface | 
| IFIM | Print Interface for IFIMN80PD | 
| IFJR | Interface JE Report | 
| IFLU | Matrix List Update | 
| IFOB | Assign Object ID | 
| IFOS | Organization Dimension | 
| IFRS | Subsystem Remote Site Inquiry | 
| IFSC | Source Code Category Retrieval | 
| IFSG | Return Analysis Group | 
| IFSS | Scenario Definition | 
| IFTC | Currency Dimension | 
| IFTR | Print Interface for IFTR80PD | 
| IFUP | Uppercase Definition | 
| IMDB | ImportDB Prompt | 
| JB00 | Journal Book | 
| JB200 | Journal Book Listing | 
| MX00 | Attributes | 
| MX05 | Template | 
| MX06 | Attribute Effect Date Template | 
| MX07 | Attribute Group | 
| MX10 | List | 
| MX100 | Attribute, Element Load | 
| MX123 | List Member Build | 
| MX135 | ACCTU Attr Effect Date Update | 
| MX160 | Attribute Valid Value Intf | 
| MX20 | View | 
| MX200 | Element Listing | 
| MX201 | Attribute Listing | 
| MX202 | Attribute Value Listing | 
| MX205 | Template Listing | 
| MX207 | Attribute Group Listing | 
| MX210 | List Listing | 
| MX220 | View Listing | 
| MX223 | List Member Listing | 
| MX260 | Attribute Valid Value Listing | 
| MX500 | Attribute Value Population | 
| MX60 | Attribute Valid Value Maint | 
| MXFL | Matrix Set-up | 
|  | 
|  | 
|  | 
|  | 
|  | 
|  | 
| MA00 | Match Table | 
| MA01 | Company | 
| MA05 | Handling Code | 
| MA08 | Add On Cost Code | 
| MA126 | Auto Matching | 
| MA180 | Open Receipt Archive | 
| MA200 | Company Listing | 
| MA205 | Code Listing | 
| MA208 | Add On Cost Master Listing | 
| MA231 | Receipt Edit Report | 
| MA264 | Invoice Message Listing | 
| MA278 | Cost Variance Analysis | 
| MA310 | Pool Count Rebuild | 
| MA41 | Add On Cost Approval Entry | 
| MA43 | PO Line Matching Approval | 
| MA53 | Receiving Interface Edit | 
| MA530 | ERS Invoice Creation | 
| MA531 | Receipt Interface | 
| MA54 | EDI Invoice Conversion Edit | 
| MA540 | EDI Invoice Match Interface | 
| MA60 | Reconciliation Queue | 
| MA61 | Match Invoice Approval Screen | 
| MA62 | Reconciliation screens | 
| MA63 | Receipt Match | 
| MA64 | Invoice Messaging Queue | 
| MA65 | Match Detail Maintenance | 
| MA66 | Review Invoice Message | 
| MA67 | Update from VB frontend | 
| MA68 | Invoice Balance from VB | 
| MA70 | Reverse Match | 
| MA95 | Vendor History | 
| MAED | Match edits | 
| MAFL | Match Flowchart | 
| MAHA | Match Handling Code Edit | 
| MAI1 | Invoke for MAMATCH Object | 
| MAPC | Match PO Code Edit | 
| MAPL | Process Level | 
| MAPO | Match Flowchart - PO | 
| MARC | Match Reason Code Edit | 
|  | 
|  | 
| MLRV | ML Retrieval Routine | 
|  | 
|  | 
|  | 
|  | 
| HS00 | Web Applicant Setup | 
| HS11 | Web Competency Profile | 
| HS12 | Web Expired Competencies | 
| HS13 | Web Competency Compliance Rpt | 
| HS14 | Web Profsnl Profile-Phys-Nurse | 
| HS15 | Web Direct Rpt Inq - Emp Dtl | 
| HS50 | Competency Profile | 
| HS51 | Job Search by Qualification | 
| HS52 | Group Qualif Gap Profile | 
| PA01 | Position Class Maintenance | 
| PA02 | Position Maintenance | 
| PA03 | Position Change | 
| PA04 | Personnel User Field Setup | 
| PA06 | Position Rules | 
| PA07 | Competency Proficiencies | 
| PA08 | Job Functions | 
| PA09 | Job Description | 
| PA100 | Action Update | 
| PA102 | Position Update | 
| PA105 | Log File Listing | 
| PA11 | Assigned Resources | 
| PA111 | Recalculate Assigned Resources | 
| PA113 | Multiple Position - History | 
| PA115 | Employee Purge | 
| PA12 | Emergency Contact | 
| PA120 | Applicant Purge | 
| PA125 | Employee History Purge | 
| PA13 | Multiple Positions | 
| PA130 | Employee Comments Purge | 
| PA135 | Applicant Comments Purge | 
| PA14 | Employee Military Service | 
| PA149 | Update Scheduled Tests | 
| PA15 | Employee Medical | 
| PA16 | Employee Company Property | 
| PA17 | Employee Automobile Infor | 
| PA170 | Budget Update | 
| PA171 | Job Budget Transfer | 
| PA172 | Initiate Budget Plan Data | 
| PA18 | Employee Travel Information | 
| PA19 | Employee Job History | 
| PA20 | Employee Education | 
| PA201 | Position Class Listing | 
| PA202 | Position Listing | 
| PA204 | User Field Listing | 
| PA206 | Position Rules Listing | 
| PA207 | Competency Proficiency Listing | 
| PA208 | Position, Job Description List | 
| PA21 | Employee Skill | 
| PA211 | Assigned Resource Listing | 
| PA212 | Emergency Contact Listing | 
| PA213 | Position, Job Listing | 
| PA214 | Employee Military Listing | 
| PA215 | Employee Medical Information | 
| PA216 | Employee Company Property List | 
| PA217 | Employee Automobile Informatio | 
| PA218 | Employee Travel Information Li | 
| PA219 | Prior Work History Listing | 
| PA22 | Employee Certification | 
| PA220 | Education Listing | 
| PA221 | Skill Listing | 
| PA222 | Certification Listing | 
| PA224 | Employee Relocation Listing | 
| PA225 | Employee Benefits Listing | 
| PA227 | Contract Listing | 
| PA23 | Empl Job Authorization | 
| PA230 | Applicant Status Listing | 
| PA231 | Applicant Profile | 
| PA232 | Applicant Reference Listing | 
| PA233 | Applicant Job History Listing | 
| PA234 | Applicant Education Listing | 
| PA235 | Applicant Skill Listing | 
| PA236 | Applicant Certification Listin | 
| PA238 | Applicant Relocation Listing | 
| PA239 | Applicant Military Service Lis | 
| PA24 | Employee Relocation | 
| PA240 | Applicant Medical Listing | 
| PA241 | Applicant Interview Informatio | 
| PA242 | Requisition Listing | 
| PA243 | Job Requisition Log | 
| PA244 | Applicant History | 
| PA248 | Test Listing | 
| PA249 | Employee,Applicant Test Listin | 
| PA25 | Employee Benefit | 
| PA250 | Personnel Action Code Listing | 
| PA259 | Grievance, Disciplinary Listin | 
| PA26 | Employee Review | 
| PA262 | Qualified Employees Listing | 
| PA263 | Qualified Applicants Listing | 
| PA27 | Contracts | 
| PA271 | Budget Listing | 
| PA272 | Budget, Resource Listing | 
| PA290 | Health, Safety Incident Listin | 
| PA294 | Canadian EEA - Setup Listing | 
| PA295 | Grade Range Schedule Listing | 
| PA296 | Official Languages Bilingual R | 
| PA30 | Applicant Status | 
| PA300 | Employee Seniority Listing | 
| PA302 | Position Purge | 
| PA305 | Employee Anniversary Date List | 
| PA31 | Applicant Master Maintenance | 
| PA310 | Employee Birthdate Listing | 
| PA311 | Employee Profile | 
| PA313 | Employee Pos,Job History Purge | 
| PA315 | Employee Telephone Listing | 
| PA32 | References | 
| PA320 | Employee Interoffice Directory | 
| PA325 | Employee Post Office Mailing L | 
| PA33 | Job History | 
| PA330 | Employee Inter Office Labels | 
| PA335 | Employee Listing | 
| PA34 | Applicant Education | 
| PA340 | Personnel Action Listing | 
| PA341 | Hire and Term Listing and CSV | 
| PA345 | Employee Review Schedule Repor | 
| PA349 | Employee,Applicant Test Purge | 
| PA35 | Applicant Skill | 
| PA350 | Employee Review History Report | 
| PA355 | Active Actions Report | 
| PA36 | Applicant Certification | 
| PA360 | Employee Wage Analysis Report | 
| PA37 | Applicant Job Authorization | 
| PA370 | Employee Review Document | 
| PA371 | Budget Purge | 
| PA372 | Health, Safety Incident Purge | 
| PA38 | Applicant Relocation | 
| PA39 | Applicant Military Information | 
| PA390 | EEO-1 Report | 
| PA391 | EEO-4 Report | 
| PA393 | VETS-100 Report | 
| PA40 | Applicant Medical | 
| PA402 | Position Employee Listing | 
| PA406 | Position Rules Audit Listing | 
| PA41 | Interviews | 
| PA42 | Job Requisitions | 
| PA43 | Requisition Applicants | 
| PA44 | Requisition Costs | 
| PA45 | Requisition Offers | 
| PA46 | Comments | 
| PA48 | Tests | 
| PA49 | Employee Tests | 
| PA490 | OSHA Log, Summary Report | 
| PA496 | Official Languages Report | 
| PA50 | Personnel Action Code Maintena | 
| PA502 | Position Conversion | 
| PA512 | Emergency Contact Conversion | 
| PA513 | Position, Job Conversion | 
| PA52 | Personnel Action | 
| PA520 | Empcode Conversion | 
| PA53 | Personnel Workflow Action Over | 
| PA531 | Applicant Conversion | 
| PA532 | Resumix Exports | 
| PA533 | Job History Conversion | 
| PA54 | Pers Action History Correction | 
| PA549 | Employee,Appl Test Conversion | 
| PA55 | Retroactive History Audit | 
| PA56 | Personnel Action Comments | 
| PA570 | Budget Conversion | 
| PA59 | Grievance, Disciplinary Action | 
| PA590 | Health,Safety Incident Convers | 
| PA594 | EECRS CSV Interface | 
| PA62 | Employee Job Qualification Sea | 
| PA63 | Applicant Job Qualification Se | 
| PA64 | Job Code Inquiry By Qualified | 
| PA65 | Job Code Inquiry By Qualified | 
| PA66 | Personnel Action History Searc | 
| PA67 | Personnel Rate Change Inquiry | 
| PA70 | Position Budget | 
| PA71 | Job Budget | 
| PA72 | Position Budget Plan | 
| PA73 | Job Budget Plan | 
| PA79 | Current Totals | 
| PA80 | Position Budget Inquiry | 
| PA81 | Employee Test Inquiry | 
| PA90 | Health, Safety Incident | 
| PA91 | Health,Safety Incident Inquiry | 
| PA93 | Eeo 1 Report Establishment Mai | 
| PA94 | Canadian EEA Setup | 
| PA95 | Grade Range Maintenance | 
| PA96 | Offcl Languages-Bilingual Req | 
| TR00 | Company Options Setup | 
| TR01 | Course Setup | 
| TR02 | Course Prerequisite Setup | 
| TR03 | Course Attribute Setup | 
| TR04 | Session Setup | 
| TR05 | Track Setup | 
| TR06 | Track Course Setup | 
| TR07 | Instructor | 
| TR08 | Course Instructor | 
| TR09 | Instructor Session | 
| TR10 | Course Cost Setup | 
| TR11 | Session Costs Setup | 
| TR113 | Group Track | 
| TR114 | Job Code Track | 
| TR12 | Employee Cost Setup | 
| TR120 | Group Session Registration | 
| TR121 | Job Code Session Registration | 
| TR13 | Employee Training Required | 
| TR14 | Instructor Course | 
| TR15 | Training By Employee | 
| TR20 | Registration | 
| TR200 | Notification Letter Extract | 
| TR201 | Course Profile | 
| TR202 | Course Catalog Extract | 
| TR204 | Session Listing | 
| TR205 | Track Listing | 
| TR207 | Instructor Listing | 
| TR21 | Employee Training History | 
| TR210 | Course Cost Listing | 
| TR22 | Complete Registration | 
| TR220 | Session Roster | 
| TR221 | Session Wait List Listing | 
| TR222 | Employee Training Listing | 
| TR26 | Employee Training Skill Maint | 
| TR500 | Training Conversion | 
|  | 
|  | 
| PBFE | Print for PBFEEs | 
| PBIP | PB Invoice Print api | 
| PBWC | Workers Comp Table Load | 
|  | 
|  | 
| PHI3 | PHOPTIONS Invoked Object | 
| PHI6 | Disproportionate Calc Invoke | 
|  | 
|  | 
| PO00 | Procurement Group | 
| PO01 | PO Company | 
| PO02 | Ship Term Maintenance | 
| PO03 | Buyer Group | 
| PO04 | Buyer Maintenance | 
| PO05 | PO Code | 
| PO06 | Freight Terms | 
| PO10 | Po Vendor Maintenance | 
| PO100 | PO Interface | 
| PO101 | Create Standing PO Release | 
| PO12 | Comment Codes | 
| PO120 | Mass PO Issue | 
| PO122 | Transmitted PO Acknowledgement | 
| PO125 | Standard PO Item Desc Maint | 
| PO13 | Vendor Item | 
| PO130 | Receiving Document | 
| PO131 | Receiving Log | 
| PO132 | Print Vendor RMA | 
| PO133 | Receiving Adjustment Log | 
| PO134 | Receiving Delivery and Putaway | 
| PO135 | Received, Not Invoiced Report | 
| PO136 | Matched, Not Received Report | 
| PO15 | Procurement Templates | 
| PO150 | Bid Load to Contract-Catalog | 
| PO16 | Bid | 
| PO181 | Load PO AUDITRULES | 
| PO190 | History PO Report | 
| PO199 | Subsystem Close | 
| PO20 | Purchase Order Entry | 
| PO202 | Ship Terms Listing | 
| PO203 | Buyer Group Listing | 
| PO204 | Buyer Master Listing | 
| PO206 | Freight Terms Listing | 
| PO21 | Po Additional Info Aoc Entry | 
| PO210 | PO Vendor Master Listing | 
| PO212 | Standard Comments Listing | 
| PO213 | Vendor Item Listing | 
| PO215 | Procurement Template Listing | 
| PO216 | Bid Analysis | 
| PO22 | Po Authorization Rel Select | 
| PO220 | PO Status Report | 
| PO223 | Buyer Expediting Report | 
| PO224 | PO Revision Log | 
| PO225 | Standard PO Listing | 
| PO226 | Contract Expiration Report | 
| PO227 | Agreement Compliance Report | 
| PO228 | Consolidated Demand Report | 
| PO23 | Purchase Order Worksheet | 
| PO230 | Unreleased Receivings Listing | 
| PO231 | Return Status Report | 
| PO233 | PO Received Quantity Exception | 
| PO24 | Po Lookup | 
| PO25 | Price Agreements | 
| PO251 | PO Buyer Message Listing | 
| PO254 | PO Inquiry Report from PO54 | 
| PO26 | Po Message Review | 
| PO27 | Entry Windows | 
| PO274 | Returns Analysis | 
| PO275 | Delivery Date Analysis | 
| PO276 | Deliver Quantity Analysis | 
| PO277 | Deliver Quality Analysis | 
| PO28 | Agreement Item Lookup | 
| PO280 | Purchases By Class | 
| PO29 | Copy Purchase Order | 
| PO295 | Cash Requirements Forecast | 
| PO30 | Receiving Entry | 
| PO300 | PO and Receipt Purge | 
| PO31 | Vendor Return | 
| PO32 | GL distribution for returns | 
| PO33 | Receiving Adjustments | 
| PO330 | Arrival to Lawson Interface | 
| PO34 | Inspection Accept Reject Entry | 
| PO35 | Receiving Inquiry Approval | 
| PO38 | ERS AOC Entry | 
| PO39 | Additional Receiving Entry | 
| PO44 | PO Line Source Maintenance | 
| PO50 | Buyer Message Entry | 
| PO501 | Purge EDI Files | 
| PO502 | EDI Translation,Communication | 
| PO503 | Check EDI Status | 
| PO504 | Create Null EDI Files | 
| PO52 | Buyer Message Review | 
| PO520 | Purchase Order Matching Load | 
| PO522 | PO Output Purge | 
| PO529 | PO Receiving File Create | 
| PO54 | Purchase Order Inquiry | 
| PO550 | Bid Creation | 
| PO560 | Bid Response Load | 
| PO64 | Po Line Item History | 
| PO66 | Po Revision History | 
| PO67 | PO Inquiry By AOC | 
| PO68 | Receiver Look Up | 
| PO700 | PO Hdr and Line Pivot UPGRADE | 
| PO72 | Vendors For An Item Inquiry | 
| PO780 | Update new fields in files | 
| PO81 | Vendor Return Inquiry | 
| PO813 | Item Vendor Load | 
| PO85 | Receivings Inquiry | 
| PO94 | Vendor Performance Inquiry | 
| POA1 | Define Vend Analysis Data Mart | 
| POA10 | List Duplicate Values for Data | 
| POA2 | Define Vend Analysis Dimension | 
| POA3 | Data Load for Vendor Analysis | 
| POA4 | Update Analytics Calendar | 
| POA5 | Update Attribute Parameters | 
| POAB | Create Buyer Dimension Outline | 
| POAM | Create Measures Dim Outline | 
| POAO | Create VA Org Dim Outline | 
| POAP | Create Product Dim Outline | 
| POAV | Create Vend Dimension Outline | 
| POAX | Data Load for Vendor Analysis | 
| POCP | Copy or Delete Comments | 
| POED | PO Edits | 
| POFL | Purchase Order Flowchart | 
| POI1 | Copy or Delete PAgrmt Comments | 
| POI3 | Invoke for POPI70PD | 
| POI4 | PODOCREF Invoked Oject | 
| POI6 | Assign Doc Number OBJECT | 
| POI7 | POI7 Print Object | 
| POI9 | PO Print Portrait | 
| POIA | PO Print Landscape | 
| POID | PO Delivery Ticket Select | 
| POIE | Delivery Ticket report | 
| POIF | MMDIST Activity Commit | 
| POIG | MMDIST Budget Check | 
| POIH | Unit Cost Default | 
| POII | Invoke for POPCRUPD | 
| POIJ | Invoke for POPLIUPD | 
| POIL | Invoke to Update PO Revision | 
| POIM | GL Budget Ck for PO and RQ | 
| POIT | Invoke PO Total Method | 
| POIX | XML Generator | 
|  | 
|  | 
| HS01 | Web Time Entry Form | 
| HS02 | Web Pay Codes By Emp Group | 
| HS03 | Web Pay Plan Dates | 
| HS04 | Time Record Status Update | 
| HS05 | Time Record Exception Setup | 
| HS06 | Web Direct Deposit Rules | 
| HS07 | SEA Notification Rules | 
| HS20 | Time Form Inquiry | 
| HS21 | Time Form Inquiry | 
| HS22 | Direct Reports Time Summary | 
| HS34 | PRPENDTIME Edit Program | 
| HS35 | Pending Time Records | 
| HS36 | Pending Time Records | 
| HS535 | Pending Time Record Extract | 
| PR00 | Payroll Cycle Status | 
| PR01 | Bank Account Code Maintenance | 
| PR02 | Deduction Class Maintenance | 
| PR03 | Required Code Maintenance | 
| PR04 | Funding Sources | 
| PR05 | Deduction Code Maintenance | 
| PR06 | United States Tax Authority | 
| PR07 | State Reporting Information | 
| PR08 | Canada Tax Authority | 
| PR09 | Head Process Level | 
| PR11 | Employee Tax Reporting Info | 
| PR110 | Step And Grade Audit | 
| PR113 | US Tax Deduction Update | 
| PR114 | Create Linked Deduction | 
| PR115 | Ded, Garn Fee, PSG Update | 
| PR116 | Step And Grade Schedule Update | 
| PR12 | Automatic Deposit Maintenance | 
| PR120 | Mass Pay Increase Program | 
| PR125 | Ontario Employee Wages for EHT | 
| PR127 | Year-End Parameters Copy-Delet | 
| PR128 | Offset Time Record Creation | 
| PR13 | Employee Taxes | 
| PR130 | Canadian Vacation Payout | 
| PR131 | Retroactive Pay Calculation | 
| PR132 | FLSA Overtime Calculation | 
| PR134 | Automatic Time Records | 
| PR135 | Time Record Edit | 
| PR136 | Missing Time Record Rpt-Update | 
| PR137 | Batch Time Record Update | 
| PR139 | Arrears Automation | 
| PR14 | Employee Deduction Maintenance | 
| PR140 | Earnings and Deductions Calc | 
| PR141 | Payroll Register | 
| PR142 | Consolidated Payroll Register | 
| PR15 | Emp Deduction Speed Entry | 
| PR155 | Bank Acct Reconciliation | 
| PR16 | Step And Grade Schedule Maint | 
| PR160 | Payment Print | 
| PR162 | Payment Register | 
| PR165 | Bank Reconciliation Tape Proce | 
| PR17 | Workers Compensation Policies | 
| PR18 | Workers Compensation Class Tbl | 
| PR180 | Manual Payment Print | 
| PR188 | Payroll Hours Update | 
| PR189 | Gross Up Calculation | 
| PR19 | ACH tape concatenate | 
| PR195 | Accrual Program | 
| PR197 | Payroll Close | 
| PR198 | General Ledger Posting | 
| PR20 | Pay Code Maintenance | 
| PR201 | Bank Code - Account Listing | 
| PR204 | Funding Sources Listing | 
| PR205 | Deduction Listing | 
| PR206 | Tax Authority Listing | 
| PR209 | Tax Reporting Groups Listing | 
| PR21 | Overtime Plan | 
| PR212 | ACH Account Listing | 
| PR214 | Employee Deduction Listing | 
| PR216 | Step And Grade Schedule Listin | 
| PR218 | Wc Classification Rate Listing | 
| PR22 | Payroll Schedules | 
| PR220 | Pay Class / Pay Sum Group | 
| PR221 | Pay Plan Listing | 
| PR223 | Payroll Distribution List | 
| PR225 | Garnishment Rules Listing | 
| PR226 | Employee Garnishment Listing | 
| PR227 | W-2 Parameter Report | 
| PR229 | Pension Participant Listing | 
| PR23 | Distribution Maintenance | 
| PR230 | Standard Time Record List | 
| PR239 | One Time Deduction Listing | 
| PR24 | Shift Table | 
| PR240 | Canadian Federal T4,T4A Slips | 
| PR241 | T4-T4A Magnetic Media | 
| PR242 | T4-T4A Reports | 
| PR243 | Releve Slips | 
| PR244 | Releve Magnetic Media | 
| PR245 | Releve Reports | 
| PR246 | Can Garnishment Rules Listing | 
| PR247 | C Employee Garnishment Listing | 
| PR248 | Canadian Annual Reports | 
| PR25 | Garnishment Types | 
| PR250 | 1099-R Form Reporting | 
| PR251 | 1099-R Magnetic Media Report | 
| PR252 | US Territory W-2 Form Printing | 
| PR253 | 1099-R Reporting | 
| PR26 | Employee Garnishment | 
| PR260 | Payment Detail Listing | 
| PR265 | Year To Date Payment Report | 
| PR27 | Year End W-2 Parameters | 
| PR270 | Employee Wage Report | 
| PR275 | Deduction Report | 
| PR276 | Employee Deduction Report | 
| PR277 | Garnishment History Report | 
| PR278 | Workers Compensation Report | 
| PR28 | Time Record Exception Setup | 
| PR280 | Deduction Audit Report | 
| PR281 | Manual Payment Audit Report | 
| PR282 | ROE - Canada | 
| PR283 | Employees with No Earnings | 
| PR284 | Seniority Audit Report | 
| PR285 | Dist Summ Type Report | 
| PR288 | Canada WC Classification Listi | 
| PR289 | Weeks Worked Calculation | 
| PR29 | Pension Payment Maintenance | 
| PR290 | Quarterly Report | 
| PR291 | Unemployment Continuation Form | 
| PR292 | Quarterly UI Mag Media | 
| PR293 | Enumeration Verification | 
| PR294 | Balancing Report | 
| PR295 | Payroll Distribution Hist | 
| PR296 | New Hire Reporting | 
| PR297 | W-2 Form Printing | 
| PR298 | W-2 Tape Creation | 
| PR299 | MMREF File Creation | 
| PR30 | Standard Time Record | 
| PR300 | History Purge | 
| PR313 | Tax Locator Deduction Purge | 
| PR32 | Employee Daily Time Entry | 
| PR33 | Time Speed Entry | 
| PR35 | Time Record Maintenance | 
| PR36 | Time Record Maintenance | 
| PR37 | Batch Time Record Control | 
| PR38 | Time Record Selection | 
| PR39 | One Time Deductions | 
| PR418 | Canada Workers Compensation Re | 
| PR45 | Time Card Error Process | 
| PR46 | Canadian Garnishment Types | 
| PR47 | Canadian Employee Garnishment | 
| PR50 | Employee Payment Inquiry | 
| PR51 | Pay Stub Inquiry | 
| PR512 | Employee ACH Dist Interface | 
| PR514 | Employee Deduction Master Load | 
| PR52 | Payroll History Year To Date | 
| PR529 | Pension Payroll Conversion | 
| PR530 | Time Record Interface CSV | 
| PR55 | Dist Summary Type Inquiry | 
| PR560 | Payroll History Load CSV | 
| PR67 | State Reporting Information | 
| PR70 | Payroll GL Dist - Currency err | 
| PR702 | PRMINWAGE and CODA Update | 
| PR712 | EAD Conv and PREMPBANK Load | 
| PR80 | Manual Payment Entry | 
| PR81 | Manual Check Reservation | 
| PR82 | Payroll Adjustment Program | 
| PR83 | Weeks Worked Adjustment | 
| PR84 | Seniority Recalculation Inquir | 
| PR85 | Payment Reconciliation | 
| PR86 | Manual Check Replacement | 
| PR88 | Payroll Hours | 
| PR89 | Payroll Gross Up And What If | 
| PR925 | Load Req US Federal Garn Rules | 
| PR927 | PR27 Conversion for 1998 | 
| PR999 | Payroll Year End Close | 
| PRAN | Get Annual Hours Routine | 
| PRAU | Manual Check Audit Routine | 
| PRBA | Get Base Rate Routine | 
| PRBN | Payroll Cycle Benefit Edit | 
| PREN | Period Ending Date Routine | 
| PRSA | Salary Allocation Routine | 
| PRSC | Select Control | 
| PRTX | Tax ID Exempts Table Load | 
| PRWC | Workers Comp Table Load | 
| PVAL | Value List Select Invoke | 
| UK02 | Bonus Pay Table | 
| UK10 | Pay Rate Table | 
| UK102 | Bonus Pay Update | 
| UK110 | Pay Rate Table Update | 
| UK210 | Pay Rate Table Listing | 
| UK330 | Time Record Export | 
| UK52 | Bonus Pay Accrual History | 
|  | 
|  | 
| RQ01 | Location Maintenance | 
| RQ02 | Approval Code Maintenance | 
| RQ04 | Requester Maintenance | 
| RQ10 | Requisition Maintenance | 
| RQ11 | Kit Accessories | 
| RQ111 | Print Requisitions | 
| RQ12 | Approval Review | 
| RQ13 | Direct approval | 
| RQ140 | Requisition Status Report | 
| RQ201 | Location Listing | 
| RQ202 | Approval Code Listing | 
| RQ204 | Requester Report | 
| RQ230 | Department Usage Report | 
| RQ235 | Issues Audit List | 
| RQ250 | Item Catalog | 
| RQ300 | Requisition Purge | 
| RQ35 | Requisition Returns | 
| RQ39 | Feedback Returns Detail Entry | 
| RQ40 | Requisition Inq By Location | 
| RQ41 | Requisition Status | 
| RQ42 | Requisition Inquiry By Item | 
| RQ44 | Requisition Status Inquiry | 
| RQ50 | Issues Inquiry | 
| RQ500 | Requisition Interface | 
| RQ510 | Inventory Depletion Interface | 
| RQ511 | HL7 Inventory Reorder-OmniCell | 
| RQ512 | PO-EDI 850 Requisiton Interfac | 
| RQ513 | Inventory Depletion Interface | 
| RQ780 | Upgrade RQ Templ to Proc Templ | 
| RQ810 | Request Location Load | 
| RQCP | Copy Attachment Comments | 
| RQFL | Requisitions Flow Chart | 
| RQIA | Invoke for RQREQXPD | 
| RQIB | Invoke for RQRQHUPD | 
| RQIC | Invoke for Get Item List | 
| RQID | Invoke for Load Shopping Cart | 
| RQIF | Invoke for RQRLNUPD | 
| RQIG | Invoke for Get Template List | 
| RQIH | Invoke Determine Express Data | 
| SEA2 | Requester Inquiry | 
| SEA3 | Item listing build for webreqs | 
| SEA4 | Default Item UOM | 
|  | 
|  | 
|  | 
|  | 
| SL195 | Interface Suspended Trans | 
| SLBL | SL Build Usr Analysis Matrix | 
| SLFD | Update File Info | 
| SLSB | User Analysis Retrieval by ID | 
| SLSE | User Analysis Edit | 
| SLSS | User Analysis String | 
| SLSU | User Analysis Unstring | 
| SLVW | SL Build User Anlys View | 
|  | 
|  | 
| TA05 | Plan Class Maintenance | 
| TA125 | Employee Plan Update | 
| TA145 | Canadian Employee Enrollment | 
| TA146 | Canadian Vacation Calculation | 
| TA147 | Canadian Vacation Audit | 
| TA148 | Canadian Vacation Rollover | 
| TA170 | Time Accrual Update | 
| TA175 | Cycle Processer Report | 
| TA180 | Mass Plan Transfer | 
| TA181 | Mass CA VAC Plan Transfer | 
| TA195 | Gl Interface And Report | 
| TA196 | Canadian G L Liability Posting | 
| TA198 | Time Accrual Close | 
| TA199 | Time Accrual Close | 
| TA20 | Time Accrual Plan Maint. | 
| TA205 | Plan Class Listing | 
| TA220 | Plan Listing | 
| TA230 | Calculation Listing | 
| TA241 | Canadian Vacation Transaction | 
| TA242 | Employee CA Vac Plan Listing | 
| TA260 | Employee Plan Master List | 
| TA265 | History Usage Report | 
| TA270 | Open Manual Transactions | 
| TA290 | Transaction History Report | 
| TA30 | Calculation Maint. | 
| TA300 | Time Accrual Trans Purge | 
| TA310 | Employee Plan Purge | 
| TA340 | Canadian Vacation Purge | 
| TA341 | Employee CA Vac Plan Purge | 
| TA40 | Canadian Vacation Plan Maint | 
| TA42 | Canadian Vacation Adjustments | 
| TA50 | Canadian Employee Vacation Pln | 
| TA542 | Can Vacation Balance Load | 
| TA570 | CSV Load Balances | 
| TA60 | Employee Pln Master Maint | 
| TA65 | Plan Master Inquiry Menu | 
| TA70 | Plan Adj. Trans. Entry | 
| TA80 | Employee Plan Transfer | 
| TA81 | Employee CA Vac Plan Transfer | 
|  | 
|  | 
| TE01 | Terms Code | 
| TE02 | Standard Messages | 
| TE200 | Terms Listing | 
| TENA | Numeric, Alpha Format | 
|  | 
|  | 
| TM01 | Attendance Code Maintenance | 
| TM02 | Attendance Class Maintenance | 
| TM201 | Attendance Code Listing | 
| TM202 | Attendance Class Listing | 
| TM240 | Employee Attendance Code Rpt | 
| TM245 | Employee Attendance Class Rpt | 
| TM250 | Attendance Code Dist Report | 
| TM255 | Attendance Class Dist Report | 
| TM300 | Attendance History Purge | 
| TM470 | Attendance History Audit Repor | 
| TM50 | Employee Attendance Date Inq | 
| TM52 | Attendance Inquiry | 
| TM570 | Attendance History Conversion | 
| TM60 | Employee Date Calendar | 
| TM61 | Employee Days Calendar | 
| TM70 | Employee Attendance History | 
| TM71 | Attendance History | 
| UK120 | Leave Plan Update | 
| UK20 | Leave Plan | 
| UK220 | Leave Plan Listing | 
| UK260 | Employee Leave Plan History | 
| UK270 | Employee Time History Listing | 
| UK300 | Employee Time and Leave Hist | 
| UK60 | Employee Leave | 
| UK70 | Employee Time | 
|  | 
|  | 
|  | 
|  | 
| IN01 | Country Codes | 
| IN02 | Region Codes | 
| IN03 | ICN and UOM Codes | 
| IN04 | Port Codes | 
| IN06 | Statistical Procedures | 
| IN07 | Nature Of Transaction Codes | 
| IN08 | Intrastat Calendar Maintenance | 
| IN120 | Intrastat Data Report | 
| IN20 | Intrastat Data Maintenance | 
| IN201 | Intrastat Country Code Listing | 
| IN202 | Intrastat Codes | 
| IN501 | Country Code Load | 
| IN702 | Load INSTCMDTY | 
| TX00 | Company | 
| TX01 | Tax Code Master | 
| TX02 | Tax Code Maintenance | 
| TX03 | Tax Rate | 
| TX04 | Tax Transaction | 
| TX06 | Tax Report Maintenance for VAT | 
| TX07 | Tax Usage Codes - for AP | 
| TX08 | Tax Calendar | 
| TX100 | Tax Analysis Report | 
| TX120 | VAT Returns Report | 
| TX125 | Purchase and Sales Report - Be | 
| TX130 | EC Sales Report | 
| TX140 | Vertex Quantum Geocode Update | 
| TX200 | Tax Company Listing | 
| TX201 | Tax Code Master Listing | 
| TX202 | Tax Code Listing | 
| TX203 | Tax Rate Listing | 
| TX204 | Tax Transaction Listing | 
| TX220 | Vendor-Customer Tax Audit | 
| TX221 | Tax Transaction Audit | 
| TX300 | Tax History Purge | 
| TX40 | Tax Inquire for Vertex Quantum | 
| TX804 | Tax Transaction Conversion | 
| TXFL | Tax Flowchart | 
|  | 
|  | 
| UG999 | UGPARAM - UGSTAT | 
|  | 
|  | 
| HRLRD | Import Employee Data | 
| WF01 | Productline | 
| WFDST | Report Attachment Trigger | 
| WFWK | Workflow Trigger | 
|  | 
|  | 
| WH01 | Process Type | 
| WH02 | Outside Warehouse Participants | 
| WH11 | Shipping Method | 
| WH110 | Batch Allocation | 
| WH120 | Route Creation | 
| WH126 | POD Print | 
| WH130 | Pick List Print | 
| WH131 | Bulk Pick List | 
| WH132 | Batch Feedback | 
| WH140 | Bill Of Lading Print | 
| WH190 | Shipment Release | 
| WH20 | Allocation | 
| WH201 | Process Type Listing | 
| WH21 | Routes | 
| WH210 | Route File Listing | 
| WH211 | Shipping Method Listing | 
| WH22 | Kit Options | 
| WH220 | Ready to Allocate | 
| WH221 | Allocated Not Printed | 
| WH222 | Shipments In Process | 
| WH224 | Packing List Print | 
| WH225 | MSDS Listing | 
| WH226 | Items On Backorder Report | 
| WH25 | Cancellation | 
| WH30 | Picking Feedback | 
| WH31 | Packing Feedback | 
| WH32 | Shipping Feedback | 
| WH33 | Detail Feedback | 
| WH330 | Shipment Interface Purge | 
| WH34 | Component Feedback | 
| WH38 | Web Tracking ID | 
| WH40 | Bill Of Lading | 
| WH52 | Shipment Interface Maintenance | 
| WH520 | Batch Feedback Interface | 
| WH80 | Shipment Inquiry | 
| WH81 | Shipment Line Inquiry | 
| WH830 | Shipment Load Program | 
| WHFL | Warhouse Flowchart | 
|  | 
|  | 
|  |