BR02.3 | BR120 | BR121 | BR122 | BR123 | BR140 |
BR151 | BR152 | BR156 | BR20.1 | BR20.2 | BR20.3 |
BR20.4 | BR20.5 | BR420 | BR521 | BR58.1 |
FIELD NAME | DESCRIPTION/VALID VALUES | UPDATED BY | ||
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BTX-TAX-ACCT-CAT Element: Acct Category | Alpha 5 Account categories are groupings of costs, revenues, or a combination of both used for reporting and inquiries for activities in the Activity Management system. All transactions are posted to an account category within an activity. You can assign a specific General Ledger account or range of accounts (company, accounting unit, account, and subaccount) that make up the transactions posted to an account category using AC07.1 (Account Assignment). Period-to-date, year-to-date, and life-to-date balances are maintained by account category for activities. Account categories must be assigned to activities before you do any budgeting or transaction processing. Valid account category types are: cost revenue accrual pass thru |
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BTX-DELIV-METHOD Element: Deliv Method | Alpha 1 S = Shipped H = Hosted at E = Electronic L = Loaded 1 = Method 1 2 = Method 2 3 = Method 3 |
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BTX-EFFECTIVE-DATE Element: Effective Date | Numeric 8 (yyyymmdd) The date a vendor's prices will be in effect. |
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BTX-TAX-PRODUCT Element: Product | Alpha 15 |
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NAME | KEY FIELDS | DESCRIPTION / SUBSET CONDITION | USED IN | ||||||||||||||||||||||||
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BTXSET1 |
TAX-ACCT-CAT DELIV-METHOD EFFECTIVE-DATE* |
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RELATION NAME |
RELATED FILE | INTEGRITY RULES / FIELD MATCH | |||
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Acacctcat | ACACCTCAT |
Required
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