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AR31.1 - Payment Write-Off
Use the Payment Write-Off subform to writeoff a payment. Choose the More
button to access the Adjustment GL Accounts subform to define general ledger
account information.
Updated Files
    ARSADJUST  - Temporary cash application adjustment record created.
    ARUPMNTHDR -
    ARUSADJUST -
Referenced Files
    ARAPSELECT -
    ARCOMP     - Validates the AR Company.
    ARPAYMENT  - Updated for amount of payment applied to an invoice or updated
                 by new payment added via program. Status may also be updated.
    ARPROCLEVL - Accesses the process level account unit, and update used flag.
    ARPYMNTHDR - Updated for payment sequence and batch control totals. GL Date
                 is used for application GL date based on company option.
    ARREASON   - Determines the reason code type, chargeback type, and reason
                 code description. Also marks reason code as used.
    ARSAPPLIED - Temporary cash application record created.
    CUCONV     - Obtains a currency exchange rate.
    CURELAT    - Validates the currency relationship.
    GLCODES    - Validates application general ledger date to valid date range.
    GLSYSTEM   - Obtains general ledger period information.
AR31.5 - Turn Payments Into Credits
Use the Turn Payments Into Credits subform to write-off a payment and create
a new credit memo.
Updated Files
    ADDRDATA   -
    ARADJUST   - Creates application adjustment record.
    ARAPPLIED  - Creates application record.
    ARDISTRIB  - Creates distribution record for credit memo creation.
    AROIHDR    - Creates open item header record for credit memo creation.
    AROITEMS   - Updates open item record with applied and adjust amounts.
    AROPIVOT   -
    ARPAYMENT  - Creates payment records.
    ARUADJUST  -
    ARXIND     -
    CBBANKENT  - Used as part of cash ledger validation.
    CBBANKINST - Used as part of payment code validation.
    TERMS      - Used flag updated for credit memo creation.
Referenced Files
    ARAPSELECT -
    ARCODE     - Used to validate general ledger accounts receivable code.
    ARCOMP     - Validates Accounts Receivable company file.
    ARCUSTOMER - Used to validate customer.
    ARPROCLEVL - Used to validate process level.
    ARPYMNTHDR - Validates payment header record.
    ARREASON   - Validates reason code record.
    CUCONV     - Used as part of currency validation.
    CURELAT    -
    DTCUSTBANK - Validates Bills of Exchange bank accounts.
    GLADDRESS  - Validates general ledger company information.
    GLCHART    - Used as part of general ledger account validation.
    GLCODES    - Used to validate system control.
    GLINTCO    - Used to validate inter company general ledger relationships.
    GLSYSTEM   - Used as part of general ledger account validation.
    INSTCTRYCD -
    NATACCT    -
    OECOMPANY  - Validates Order Entry company.
    OEINVOICE  - Validates Order Entry invoice.
AR31.6 - Write-Off
Use the Write-off subform to writeoff a payment or credit. Choose the More
button to access the Adjustment GL Accounts subform to define general ledger
account information.
Important: Payment or credit writeoffs are entered in the currency of the
original transaction.
Updated Files
    ADDRDATA   -
    ARADJUST   - Creates application adjustment record.
    ARAPPLIED  - Creates application record.
    ARCUSTOMER - Updates customer record with payment statistic.
    ARCUSTPER  - Updates customer period record with payment and application
                 statistics.
    ARDRAFTS   -
    AROITEMS   - Updates open item record with applied and adjust amounts.
    AROPIVOT   -
    ARPAYMENT  - Creates payment records.
    ARPROCLEVL - Updates process level with used flag.
    ARREASON   - Updates reason code file with used flag.
    ARUADJUST  -
    ARUOIHDR   -
    ARXIND     -
    CUSTDESC   - Validates customer description record.
    MXLISTHDR  -
    NATBALANCE - Used as part of national account validation.
Referenced Files
    ARAPSELECT -
    ARCOMP     - Validates Accounts Receivable company file.
    ARCUSTGRP  - Used to validate customer group.
    ARDISTRIB  - Validates tax point distribution status.
    AROIHDR    - Used to validate open item header record.
    ARPYMNTHDR - Validates payment header record.
    CUACCT     - Used as part of currency validation.
    CUCONV     -
    CURELAT    -
    GLADDRESS  - Validates general ledger company information.
    GLCHART    - Used as part of general ledger account validation.
    GLCODES    - Used to validate system control.
    GLSYSTEM   - Used as part of general ledger account validation.
    INSTCTRYCD -
    NATACCT    - Used to validate national account customer relationship.
INVOKED Programs
    IFAC
    ACAC
    ACCL
    ACTA
    API4
    IFCU
    IFOB
    IFSG
    IFLU
    IFAU
    SLSE
    SLSU
    SLSS
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