Lawson Insight Technical Documentation

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AP260


AP260 - Invoice Accrual Reconciliation

**Form Purpose
Run Invoice Accrual Reconciliation (AP260) to print a report of invoice
transactions that make up your invoice accrual account balance as of the date
you specify.

The report shows the difference between what has been paid and updated
through AP170 (Payment Closing) or AP180 (Bill of Exchange Cashing Update),
and what has been expensed through AP175 (Invoice Distribution Closing) for
each invoice accrual account.

The report includes the amount paid, amount distributed, and the difference
for each invoice listed. The difference should equal the general ledger
invoice accrual account balance as long as no adjustments have been made to
the invoice accrual account through the General Ledger application and no
transactions have been interfaced to the general ledger from other subsystems
for the invoice accrual account specified. This program lists transactions in
the Accounts Payable application only.

Updated Files

    APAPIHIST  -

    APINVOICE  - Primary file for report detail.

    APRECON    -

    CBBANKINST - Validates payment code and updates used flag.

    CKPOINT    -


Referenced Files

    APACCRCODE - Validates invoice accrual code.

    APAPDHIST  -

    APAPPHIST  -

    APCOMPANY  - Validates company.

    APDISCACC  -

    APDISTRIB  - Accesses invoice distributions.

    APDRAFTS   - Used to derive the bill of exchange distribution records.

    APDRFTDIST - Accesses bill of exchange distribution records.

    APDSKHIST  -

    APPAYGROUP -

    APPAYMENT  - Accesses split invoice payment information.

    APVENMAST  - Defaults vendor master information.

    GLADDRESS  - Accessed by general ledger common routine.

    GLCHART    -

    GLSYSTEM   - Accessed by general ledger common routine.

    MACOMPANY  -


INVOKED Programs

    IFCU
    IFSG