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| Routines in this Library: |
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| 625-GET-SC-CATEGORIES-70 |
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| Forms calling this Library: |
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| WO140 | Production Feedback |
| WH830 | Shipment Load Program |
| WH520 | Batch Feedback Interface |
| WH40 | Bill Of Lading |
| WH34 | Component Feedback |
| WH33 | Detail Feedback |
| WH32 | Shipping Feedback |
| WH31 | Packing Feedback |
| WH30 | Picking Feedback |
| WH20 | Allocation |
| WH190 | Shipment Release |
| WH132 | Batch Feedback |
| WH130 | Pick List Print |
| SL40 | Error Transaction Edit |
| RQIJ | Copy a Requistion |
| RQIF | Invoke for RQRLNUPD |
| RQIB | Invoke for RQRQHUPD |
| RQ500 | Requisition Interface |
| RQ35 | Requisition Returns |
| RQ13 | Direct approval |
| RQ12 | Approval Review |
| RQ11 | Kit Accessories |
| RQ10 | Requisition Maintenance |
| PR198 | General Ledger Posting |
| POIJ | Invoke for POPLIUPD |
| POII | Invoke for POPCRUPD |
| POIE | Delivery Ticket report |
| POI3 | Invoke for POPI70PD |
| PO520 | Purchase Order Matching Load |
| PO52 | Buyer Message Review |
| PO50 | Buyer Message Entry |
| PO44 | PO Line Source Maintenance |
| PO39 | Additional Receiving Entry |
| PO38 | ERS AOC Entry |
| PO35 | Receiving Inquiry Approval |
| PO34 | Inspection Accept Reject Entry |
| PO33 | Receiving Adjustments |
| PO32 | GL distribution for returns |
| PO31 | Vendor Return |
| PO300 | PO and Receipt Purge |
| PO30 | Receiving Entry |
| PO29 | Copy Purchase Order |
| PO27 | Entry Windows |
| PO26 | Po Message Review |
| PO25 | Price Agreements |
| PO23 | Purchase Order Worksheet |
| PO22 | Authorization, Release |
| PO21 | Po Additional Info Aoc Entry |
| PO20 | Purchase Order Entry |
| PO136 | Matched, Not Received Report |
| PO135 | Received, Not Invoiced Report |
| PO131 | Receiving Log |
| PO122 | Transmitted PO Acknowledgement |
| PO101 | Create Standing PO Release |
| PO100 | PO Interface |
| OE90 | Orders On Hold By Customer |
| OE830 | Returns Load Program |
| OE810 | Order Load Program |
| OE81 | Order Line Inquiry |
| OE530 | Return Feedback Interface |
| OE510 | EDI Order Creation |
| OE30 | Returns |
| OE14 | Order Option Windows |
| OE130 | Returns GL Posting |
| OE13 | Order Line Option Windows |
| OE129 | Daily Shipment Journal |
| OE116 | Order Line Mass Change Update |
| OE114 | Ship Immediates |
| OE113 | Quotation Listing and Delete |
| OE111 | EP Batch Order Release |
| OE110 | Batch Order Release |
| OE11 | Comment and AddOnChg Windows |
| OE10 | Entry |
| MAI1 | Invoke for MAMATCH Object |
| MA80 | Online Receipt Archive |
| MA75 | PO Invoice Cancel |
| MA70 | Reverse Match |
| MA68 | Invoice Balance from VB |
| MA67 | Update from VB frontend |
| MA66 | Review Invoice Message |
| MA65 | Match Detail Maintenance |
| MA63 | Receipt Match |
| MA61 | Match Invoice Approval Screen |
| MA60 | Reconciliation Queue |
| MA540 | EDI Invoice Match Interface |
| MA531 | Receipt Interface |
| MA530 | ERS Invoice Creation |
| MA180 | Open Receipt Archive |
| MA126 | Auto Matching |
| IFGT | GLTRANS Interface |
| IC83 | Par Location Counts |
| IC28 | Cost Adjustments |
| IC142 | Replenishment by Requisition P |
| IC141 | Location Replenishment Report |
| IC130 | General Ledger Interface |
| IC125 | Standard Cost Valuation |
| GL75 | Recurring Journal Entry Contro |
| GL70 | Recurring Journal Entry/mainte |
| GL65 | Transaction Interface Maint |
| GL45 | Journal Entry Control |
| GL44 | Report Currency Entry |
| GL40 | Journal Entry |
| GL287 | AR Grand Livre Report - Date |
| GL286 | AR Grand Livre Report - Period |
| GL285 | AP Grand Livre Report - Date |
| GL284 | AP Grand Livre Report - Period |
| GL270 | Recurring Journal Edit Listing |
| GL265 | Transaction Interface Listing |
| GL240 | Journal Edit Listing |
| GL199 | Period Closing |
| GL197 | GL Commitment Period Closing |
| GL191 | Currency Revaluation |
| GL190 | Journal Posting |
| GL170 | Recurring Journal Interface |
| GL165 | Transaction Interface |
| GL147 | General Journal Report |
| GL146 | Batch Journal Control |
| EE175 | Company Expense Posting |
| DT92 | Dishonored Resolution |
| DT70 | Remittance Maintenance |
| DT45 | Bill of Exchange Cancellation |
| DT180 | Bank Presentation, Cashing Upd |
| DT170 | Risk Review |
| DR100 | Distribution Requirements Repo |
| CB191 | Bank Statement Close |
| CB175 | Bank Transaction Posting |
| CA210 | Allocation Edit Listing |
| CA190 | Allocation Interface |
| CA10 | Allocation Maintenance |
| BRIP | Invoice Print Program |
| BR530 | Revenue Import |
| BR40 | Write UpDown |
| BR130 | Revenue Calculation |
| BR03 | Billing Rates |
| BL92 | Released Invoices |
| BL820 | Invoice Load |
| BL520 | Billing Interface |
| BL29 | Invoice Batch |
| BL21 | Invoice Programmable Windows |
| BL20 | Invoice Entry Screens |
| BL130 | Create Recurring Invoices |
| BL123 | Sub-System Update |
| BL122 | Invoice and Register Print |
| BL120 | Invoice Batch Release |
| ARLL | AR Lawson-to-Lawson Interface |
| AR82 | Returned Payment Maintenance |
| AR580 | Payment2 Interface |
| AR575 | Payment Interface |
| AR570 | Lock Box Interface |
| AR560 | Transaction Interface |
| AR48 | AR to AP Interface |
| AR44 | Invoice Obligation Grouping |
| AR43 | Invoice Batch Inquiry Release |
| AR42 | Transaction Entry |
| AR34 | Line Item Application |
| AR30 | Cash Entry and Application |
| AR29 | Cash Transfer |
| AR24 | Cash Batch Inquiry Release |
| AR21 | Cash |
| AR20 | Batch Entry |
| AR196 | Unrealized Gain Loss Report |
| AR190 | Application Closing |
| AR137 | Finance Charge Late Payment |
| AR124 | Cash Batch Release Report |
| AR115 | EFT Payment Creation |
| API1 | Invoke for APRI70PD Object |
| AP520 | Invoice Interface |
| AP305 | AP Company Purge |
| AP30 | Released Invoice Adjustments |
| AP27 | Single Invoice Release |
| AP26 | Invoice Registration Release |
| AP25 | Batch And Invoice Control |
| AP220 | Invoice Edit Report |
| AP191 | Unrealized Gain/Loss |
| AP190 | Invoice Reinstatement |
| AP185 | Bill of Exchange Distribution |
| AP176 | Match Discount Posting |
| AP175 | Invoice Distribution Closing |
| AP170 | Payment Closing |
| AP131 | Chargeback |
| AP126 | Invoice Registration Release |
| AP125 | Batch Release |
| AP115 | Vendor Merge |
| AM98 | Asset Book Interface Adjust |
| AM96 | Asset Interface Adjustment |
| AM92 | Additional Book Conversion Adj |
| AM551 | Item Update Adjustment Interfa |
| AM502 | Additional Book Conversion |
| AM500 | Asset Management Interface |
| AM41 | Reinstate Disposed Assets |
| AM40 | Disposals |
| AM30 | Transfers |
| AM21 | Lease Additions,Adjustments |
| AM20 | Additions,Adjustments |
| AM192 | Short Year Close |
| AM190 | Period Close |
| AM170 | Processing Release |
| AM154 | AM Bar Code File Interface |
| AM15 | Asset Interface |
| AM145 | Mass Disposals |
| AM135 | Mass Transfers |
| AM125 | Mass Adjustments |
| AM117 | Mass Distribution Split |
| AM115 | Mass Additions |
| AC540 | Transaction Interface |
| AC54 | Transaction Interface Maint |
| AC45 | Transaction Edit |
| AC42 | Subcontractor Time Entry |
| AC41 | Resource Journal Entry |
| AC40 | Journal Entry |
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