| Value | Description | Special Handling Code | Hard Coded |
---|
1 | $P | Security Withholdings | | Y |
2 | $Q | General SUSS | | Y |
3 | % | Percentage Journal Entry | | N |
4 | AJ | Service Billing Adjustments | | Y |
5 | AR | Asset Revaluation | | Y |
6 | AS | Asset Split | | N |
7 | AT | Asset Transfer | | N |
8 | BA | Billing Adjustments | | Y |
9 | BF | Balance Forward/Summarize | | N |
10 | CA | Credit Note for Aftercare | | N |
11 | CC | Credit-Contract & Loyalty Supp | | N |
12 | CG | Lot Grade Change | | N |
13 | CP | Lot Potency Change | | N |
14 | CQ | Credit Note - Quarterly Bonus | | N |
15 | CT | Credit Note - Targeted Bonus | | N |
16 | CW | Credit Note for Warranty | | N |
17 | DP | Depreciation Journal | | N |
18 | DR | Job Cost Draw Splits | | Y |
19 | EU | Service Billing Revenue | | Y |
20 | EX | Currency Conversion Offsets | | N |
21 | IQ | Inventory Quantity Only | | Y |
22 | IX | Recalculate Average Cost | | N |
23 | IZ | Lot Hold/Release | | N |
24 | JA | Budget or Cost Allocation | | N |
25 | JB | Joint Interest Billing | | N |
26 | JC | Job Cost % Complete | | N |
27 | JD | JIB Detail Owner Entries | | N |
28 | JE | Journal Entry | | N |
29 | JF | Journals Brought Forward | | N |
30 | JK | A/P Redistribute Payments | | Y |
31 | JM | AR VAT Redistribution | | Y |
32 | JP | Subscription Sales | | N |
33 | JQ | Sub. Sales Net Ledger | | N |
34 | JR | Subscription Sales Commissions | | N |
35 | JT | Accrued Property Taxes | | N |
36 | JV | A/P Redistribute Prepayments | | Y |
37 | JX | Foreign Currency Revaluation | | N |
38 | JZ | Cash Basis Journal Entry | | N |
39 | NP | Partial NSF | | Y |
40 | O | Ordering Document Types | | N |
41 | O4 | Purchase Order -Transportation | | N |
42 | OA | Do Not Use | | Y |
43 | OB | Blanket Order | | N |
44 | OC | Construction Work Order | | N |
45 | OD | Direct Ship Order | | N |
46 | OE | Do Not Use--Exchange Rate Var. | | N |
47 | OI | Interoperability Direct P.O. | | N |
48 | OK | Purchase Intercompany Order | | N |
49 | OM | Purchase Order RMA | | N |
50 | OO | Outside Operations | | |
51 | OP | Purchase Order | | N |
52 | OQ | Purchase Quote or Bid | | N |
53 | OS | Subcontract | | N |
54 | OU | Requisition Self Service | | Y |
55 | OY | EDI Purchase Order Quote | | |
56 | P1 | A/P Drafts | | N |
57 | P7 | Alternate Currency Payment | | N |
58 | PA | Credit Note Reimbursements | | N |
59 | PB | BACS Electronic Funds Transfer | | N |
60 | PE | Change to Voucher Amount | | N |
61 | PG | Gain/Loss on Exchange Rate | | N |
62 | PI | Physical Inventory | | N |
63 | PK | Automated Check | | N |
64 | PL | Voucher Logging | | N |
65 | PM | Manual Voucher | | N |
66 | PN | Manual Check | | N |
67 | PO | Void Check | | N |
68 | PR | Recurring Voucher | | N |
69 | PT | Electronic Funds Transfer | | N |
70 | PW | Withholding | | |
71 | PY | Payment Order - EDI Only | | |
72 | R | Receivables | | N |
73 | R1 | A/R Drafts | | N |
74 | R2 | Contract Billing | | N |
75 | R5 | Deduction | | Y |
76 | R6 | RMA - Sales Order | | Y |
77 | R7 | Alternate Currency Receipt | | N |
78 | RA | Adjustment | | N |
79 | RB | Chargeback | | N |
80 | RC | Cash Receipts | | N |
81 | RE | Change to Invoice Amount | | N |
82 | RF | Finance Charge | | N |
83 | RG | Gain/Loss on Exchange Rate | | N |
84 | RK | Cash Receipts Check | | N |
85 | RO | Reversing or Void Entry | | N |
86 | RQ | Chargeback Amount Created | | N |
87 | RR | Recurring Invoice | | N |
88 | RS | Spread Adjustments | | N |
89 | RU | Unapplied Cash | | N |
90 | RV | Non-sufficient Funds | | N |
91 | RW | Balance Forward | | N |
92 | RY | Cash Receipts - EDI Only | | |
93 | SB | Blanket Sales Order | | N |
94 | SC | Actual Rate Schedule | | N |
95 | SD | Direct Ship | | N |
96 | SF | Free Goods | | N |
97 | SI | Interbranch Sales | | N |
98 | SQ | Sales Quote | | N |
99 | SS | Do Not Use--Summary Records | | N |
100 | SY | EDI Sales Order Quote | | N |
101 | SZ | EDI Sales Order | | N |
102 | TM | Enterprise Treasury Management | | Y |