Lawson Insight Technical Documentation

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CBCTRANS


                             CBCTRANS FILE

                     Bank Transaction Conversion/In

The Bank Transaction Conversion file is used by the Bank Transaction Interface
program to convert or interface bank transaction records to the Lawson Cash
Ledger system and, optionally, to convert cash payment transaction records to
the Lawson Accounts Payable system.

When you run CB500 (Bank Transaction Interface), the system reads records in
this file for conversion or interface into the Cash Ledger Bank Transaction
file and, if applicable, the Accounts Payable Cash Payment file. When the Bank
Transaction Conversion file records are successfully converted or interfaced,
they are purged from this file.

UPDATED BY

CB500

FIELD NAME             DESCRIPTION/VALID VALUES                  UPDATED BY

CVC-CASH-CODE          Alpha 4
Accounts Receivable    Required. The cash code. Represents a
Code                   bank account. Must be a valid record in
                       the Cash Code file.

CVC-BANK-INST-CODE     Alpha 3
Element: Transaction CoRequired. The bank transaction code.
                       Represents a type of cash payment, bill
                       of exchange payment, or bank service.
                       Must be a valid record in the Bank
                       Transaction Code file.

CVC-TRANS-NBR          Alpha 10  (Right Justified)               CB500
Element: Transaction NuRequired. The bank transaction number.
                       The value should be loaded right
                       justified. If loading a numeric value,
                       use leading spaces rather than leading
                       zeros.

CVC-COMPANY            Numeric 4
Element: Company       Required. The company number that
                       initiated the bank transaction. Must be
                       a valid record in the General Ledger
                       Company file and a valid relationship
                       record must exist in the Company-Cash
                       Code Relationship file. If the Source
                       Code field is AP, the Company field must
                       be the Pay Post Company assigned to the
                       pay group.

CVC-VENDOR             Alpha 9  (Right Justified)
Element: Vendor ID     Required if the Source Code field = AP.
                       This field contains the accounts payable
                       vendor number associated with the bank
                       transaction. Must be a valid record in
                       the Accounts Payable Vendor file. Load
                       numeric values right justified with
                       leading spaces.

CVC-REC-STATUS         Numeric 1
Element: Record Status Required. The bank transaction record
                       status. Determines the status of the
                       bank transaction in the Lawson Cash
                       Ledger system. Valid values are:

                       1 = Open (Unreconciled).
                       2 = Reconciled.
                       3 = Voided.

CVC-SOURCE-CODE        Alpha 2
Element: Source Code   Required. Identifies the source of the
                       transaction. If this field = AP, CB500
                       (Bank Transaction Interface) will update
                       the Accounts Payable Cash Payment file.
                       Valid values are:

                       AP = Accounts Payable.
                       CB = Cash Ledger.

CVC-ISSUE-DATE         Numeric 8  (yyyymmdd)
Element: Date          Required. The date of the bank
                       transaction.

CVC-ISSUE-BNK-AMT      Signed 15.2
Account Currency       Required. The amount of the bank
Issued Amount          transaction in the currency of the bank
                       account.

CVC-ISSUE-BASE-AMT     Signed 15.2                               CB500
Base Currency          Required if the bank account currency
Issued Amount          is different from the company base
                       currency. The amount of the bank
                       transaction in the currency of the
                       company responsible for generating the
                       transaction.

CVC-RECON-DATE         Numeric 8  (yyyymmdd)
Reconciliation or      Required if the Record Status field = 2
Void Date              (Reconciled) or 3 (Voided). The
                       reconciliation or void date of the bank
                       transaction.

CVC-RECON-BNK-AMT      Signed 15.2
Acct Currency          Required if the Record Status field = 2
Reconciled Amt         (Reconciled). The amount of the bank
                       transaction recognized by the bank in
                       the currency of the bank account.

CVC-RECON-BASE-AMT     Signed 15.2
Base Currency          Required if the Record Status field = 2
Reconciled Amt         (Reconciled) and the bank account
                       currency is different from the company
                       base currency. The reconciled amount of
                       the bank transaction in the company base
                       currency. If the bank account currency
                       is the same as the company base
                       currency, this value equals the amount
                       in the Account Currency Reconciled
                       Amount field.

CVC-DESCRIPTION        Alpha 30  (Lower Case)
Element: Description   The bank transaction description. The
                       field accepts both upper and lower case
                       entries.

CVC-REFERENCE          Alpha 10  (Lower Case)
Element: Requester     The reference value assigned to the
                       transaction. Used for informational
                       purposes.

CVC-DIS-ACCT-UNIT      Alpha 15
Element: Accounting UniUse this field ONLY if the bank
                       transaction has NOT been posted to the
                       general ledger and you want CB500 (Bank
                       Transaction Interface) to create general
                       ledger transaction distributions. The
                       Record Status field must = 1
                       (Open/Unreconciled) or 2 (Reconciled),
                       and the Source Code field must = CB.

                       The general ledger distribution
                       accounting unit used for posting the
                       bank transaction. Must be a valid record
                       in the General Ledger Names file. If
                       present, CB500 creates unposted
                       transaction distribution records in the
                       Transaction Distribution file for this
                       account and offset transaction
                       distribution records for the cash
                       account. These transaction distributions
                       are posted to the general ledger when
                       you run CB175 (Bank Transaction
                       Posting).

                       Leave this field blank if the bank
                       transaction has already been posted to
                       the general ledger and you do NOT want a
                       general ledger distribution to be
                       created for the bank transaction.

CVC-DIS-ACCOUNT        Numeric 6
Element: Account       Use this field ONLY if the bank
                       transaction has NOT been posted to the
                       general ledger and you want CB500 (Bank
                       Transaction Interface) to create general
                       ledger transaction distributions. The
                       Record Status field must = 1
                       (Open/Unreconciled) or 2 (Reconciled).

                       The general ledger distribution account
                       number used for posting the bank
                       transaction. Must be a valid record in
                       the General Ledger Account Master file.
                       If present, CB500 creates unposted
                       transaction distribution records in the
                       Transaction Distribution file for this
                       account and offset transaction
                       distribution records for the cash
                       account. These transaction distributions
                       are posted to the general ledger when
                       you run CB175 (Bank Transaction
                       Posting).

                       Leave this field blank if the bank
                       transaction has already been posted to
                       the general ledger and you do NOT want a
                       general ledger distribution to be
                       created for the bank transaction.

CVC-DIS-SUB-ACCT       Numeric 4
Element: Subaccount    Use this field ONLY if the bank
                       transaction has NOT been posted to the
                       general ledger and you want CB500 (Bank
                       Transaction Interface) to create general
                       ledger transaction distributions. The
                       Record Status field must = 1
                       (Open/Unreconciled) or 2 (Reconciled).

                       The general ledger distribution
                       subaccount number used for posting the
                       bank transaction. Must be a valid record
                       in the General Ledger Account Master
                       file. If present, CB500 creates unposted
                       transaction distribution records in the
                       Transaction Distribution file for this
                       account and offset transaction
                       distribution records for the cash
                       account. These transaction distributions
                       are posted to the general ledger when
                       you run CB175 (Bank Transaction
                       Posting).

                       Leave this field blank if the bank
                       transaction has already been posted to
                       the general ledger and you do NOT want a
                       general ledger distribution to be
                       created for the bank transaction.

CVC-TAX-CODE           Alpha 10
Element: Tax Code      Use this field ONLY if you want CB500
                       (Bank Transaction Interface) to create a
                       general ledger tax distribution for the
                       bank transaction.

                       The tax code associated with the bank
                       transaction. Used to calculate bank
                       transaction tax information. Must be a
                       valid record in the Tax Code file. If
                       present, CB500 creates an unposted tax
                       distribution record for the Tax Amount
                       in the Transaction Distribution file.
                       The difference between the Transaction
                       Amount and the Tax Amount will be posted
                       to the Distribution Account assigned to
                       the bank transaction.

                       Leave this field blank if the bank
                       transaction has already been posted to
                       the general ledger and you do NOT want a
                       general ledger tax distribution to be
                       created for the bank transaction.

CVC-TRAN-TAXABLE       Signed 15.2
Element: Item Tax      Required if a Tax Code is present. The
                       taxable amount of the bank transaction.

CVC-TRAN-TAX-AMT       Signed 15.2                               CB500
Element: Adj Amt       Use this field ONLY if you want CB500
                       (Bank Transaction Interface) to create a
                       general ledger tax distribution for the
                       bank transaction.

                       The tax amount of the bank transaction.
                       If left blank and a Tax Code is present,
                       this amount will be calculated.
                       Represents the amount to be posted to
                       the general ledger for the tax
                       distribution. If present, CB500 creates
                       an unposted tax distribution record for
                       the Tax Amount in the Transaction
                       Distribution file. The difference
                       between the Transaction Amount and the
                       Tax Amount will be posted to the
                       Distribution Account assigned to the
                       bank transaction.

                       Leave this field blank if the bank
                       transaction has already been posted to
                       the general ledger and you do NOT want a
                       general ledger tax distribution to be
                       created for the bank transaction.

CVC-JRNL-BOOK-NBR      Alpha 12
Element: Journal Book  Use this field ONLY if you want CB500
                       (Bank Transaction Interface) to create a
                       general ledger journal book distribution
                       for the bank transaction.

                       The journal book associated with the
                       bank transaction. Must be a valid record
                       in the Journal Book Header file.

                       Leave this field blank if the bank
                       transaction has already been posted to
                       the general ledger and you do NOT want a
                       general ledger tax distribution to be
                       created for the bank transaction.

CVC-ISSUE-TRAN-AMT     Signed 15.2                               CB500
Element: Adj Amt       The amount of the transaction in the
                       currency of the transaction.

CVC-BNK-CNV-RATE       Signed 12.6                               CB500
Element: Account Rate  The exchange rate used to convert the
                       transaction currency to the bank account
                       currency.

CVC-CURRENCY-CODE      Alpha 5                                   CB500
Element: Currency Code The currency of the transaction. Must be
                       a valid record in the Lawson Currency
                       system.

CVC-BANK-ND            Numeric 1                                 CB500
Account Currency       The number of decimal positions defined
Code                   for the bank account currency.

CVC-TRAN-ND            Numeric 1                                 CB500
Account Currency       The number of decimal positions defined
Code                   for the transaction currency.

CVC-STMT-STATUS        Numeric 1
Element: Statement StatThe status of the bank statement
                       associated with the transaction.

CVC-PAY-GROUP          Alpha 4
Element: Pay Group     The pay group assigned to the
                       transaction. This field is required if
                       the Source Code field is AP.

CVC-ORIG-CNV-RATE      Signed 12.6                               CB500
Element: Account Rate

CVC-SEGMENT-BLOCK      Alpha 103
Element: User Analysis This field identifies the user analysis
                       values included in the transaction.

                       You can either type up to four values
                       or use Define (F6) to open the User
                       Analysis Entry subform. Use this subform
                       to select the user analysis values you
                       want to include in the transaction. If
                       you choose to type values, use commas to
                       separate them. For example:
                       value1,value2,value3,value4

                       There are three conditions that affect
                       how you can select user analysis values.
                       See the User Analysis Entry form help or
                       the Strategic Ledger procedures manual
                       for additional information.

CVC-SOURCE             Alpha 1
Element: Source        The source of the transaction. Input or
                       output.  Input transactions are Accounts
                       Payable. Output transactions are
                       Accounts Receivable.

                         CBCTRANS FILE INDEX

NAME      KEY FIELDS    DESCRIPTION / SUBSET CONDITION           USED IN

CVCSET1   CASH-CODE     This index is used to access bank        CB500
          BANK-INST-CODEtransaction conversion or interface
          TRANS-NBR     records from the bank transaction
                        conversion/interface file.