| PSTSEQ |
1 |
BCD*5.0 |
Posting Sequence |
E A K R |
|
| BANK |
2 |
String*8 |
Bank Code |
E A K R |
|
| NAME |
3 |
String*60 |
Description |
E A |
|
| ADDR1 |
4 |
String*60 |
Address Line 1 |
E A |
|
| ADDR2 |
5 |
String*60 |
Address Line 2 |
E A |
|
| ADDR3 |
6 |
String*60 |
Address Line 3 |
E A |
|
| ADDR4 |
7 |
String*60 |
Address Line 4 |
E A |
|
| CITY |
8 |
String*30 |
City |
E A |
|
| STATE |
9 |
String*30 |
State |
E A |
|
| COUNTRY |
10 |
String*30 |
Country |
E A |
|
| POSTAL |
11 |
String*20 |
Zip/Postal Code |
E A |
|
| CONTACT |
12 |
String*60 |
Contact |
E A |
|
| LOCTYPE |
13 |
String*6 |
Location Type |
E A |
|
| LOCATION |
14 |
String*30 |
Location Code |
E A |
|
| PHONE |
15 |
String*30 |
Phone Number |
E A |
|
| FAX |
16 |
String*30 |
Fax Number |
E A |
|
| TRANSIT |
17 |
String*12 |
Transit Number |
E A |
|
| MULTICUR |
18 |
Boolean |
Multicurrency Switch |
E A |
|
| CURNSTMT |
19 |
String*3 |
Statement Currency |
E A |
|
| INACTIVE |
20 |
Boolean |
Inactive Switch |
E A |
|
| INACTDATE |
21 |
Date |
Date Inactived |
E A |
|
| BKACCT |
22 |
String*22 |
Bank Account Number |
E A |
|
| RECNSFTYPE |
23 |
String*6 |
Reversal Transaction Type |
E A |
|
| IDACCT |
24 |
String*45 |
Bank G/L Account |
E A |
|
| IDACCTERR |
25 |
String*45 |
Bank Error G/L Account |
E A |
|
| ERRSPREAD |
26 |
BCD*10.3 |
Error Spread |
E A |
|
| LSTMNTND |
27 |
Date |
Last Maintained |
E A |
|
| RECFY |
28 |
String*4 |
Fiscal Year |
E A |
|
| RECFP |
29 |
Integer |
Fiscal Period |
E A |
|
| RECLSTFY |
30 |
String*4 |
Last Fiscal Year |
E A |
|
| RECLSTFP |
31 |
Integer |
Last Fiscal Period |
E A |
|
| RECLSTDATE |
32 |
Date |
Last Reconciliation Date |
E A |
|
| RECLSTBAL |
33 |
BCD*10.3 |
Last Closing Statement Balance |
E A |
|
| RECDATE |
34 |
Date |
Reconciliation Date |
E A |
|
| RECSTMTDAT |
35 |
Date |
Statement Date |
E A |
|
| RECSTMTBAL |
36 |
BCD*10.3 |
Closing Statement Balance |
E A |
|
| RECINTRANS |
37 |
BCD*10.3 |
Deposits in Transit |
E A |
|
| RECOUTSTND |
38 |
BCD*10.3 |
Checks Outstanding |
E A |
|
| RECBKERRPN |
39 |
BCD*10.3 |
Bank Error Pending Amount |
E A |
|
| RECBKENT |
40 |
BCD*10.3 |
Bank Entries Amount |
E A |
|
| RECBKERR |
41 |
BCD*10.3 |
Bank Error Amount |
E A |
|
| RECEXGAIN |
42 |
BCD*10.3 |
Exchange Amount Gained |
E A |
|
| RECEXLOSS |
43 |
BCD*10.3 |
Exchange Amount Lost |
E A |
|
| RECDEPOSIT |
44 |
BCD*10.3 |
Total Deposits |
E A |
|
| RECCHECK |
45 |
BCD*10.3 |
Total Checks |
E A |
|
| RECFCDEP |
46 |
BCD*10.3 |
Deposits To Fiscal Period |
E A |
|
| RECFCCHK |
47 |
BCD*10.3 |
Checks To Fiscal Period |
E A |
|
| RECFCDEPIT |
48 |
BCD*10.3 |
Deposits In Transit To Fiscal Pe |
E A |
|
| RECFCCHKOS |
49 |
BCD*10.3 |
Checks Outstanding To Fiscal Per |
E A |
|
| RECRECALC |
50 |
Boolean |
Recalculate Fiscal Period Data |
E A |
|
| ADJBOOKBAL |
51 |
BCD*10.3 |
Adjusted Book Balance |
E A |
|
| ADJSTMTBAL |
52 |
BCD*10.3 |
Adjusted Statement Balance |
E A |
|
| BALANCES |
53 |
Boolean |
Bank Reconciliation Balanced |
E A |
|
| ADJBALDIFF |
54 |
BCD*10.3 |
Adjusted Balance Difference |
E A |
|
| CHKSERIAL |
55 |
Long |
Next Check Serial Number |
E A |
|
| NXTDEPOSIT |
56 |
BCD*5.0 |
Next Deposit Number |
E A |
|
| DEPSERIAL |
57 |
Long |
Next Deposit Serial Number |
E A |
|
| RECAVAIL |
58 |
BCD*10.3 |
Current Balance |
E A |
|
| RECBOOKBAL |
59 |
BCD*10.3 |
Reconciliation Book Balance |
E A |
|
| RECLSMDATE |
60 |
Date |
Last Statement Date |
E A |
|
| RECFCBKENT |
61 |
BCD*10.3 |
Bank Entries To Fiscal Period |
E A |
|
| RECFCGAIN |
62 |
BCD*10.3 |
Exchange Gain To Fiscal Period |
E A |
|
| RECFCLOSS |
63 |
BCD*10.3 |
Exchange Loss To Fiscal Period |
E A |
|
| RECFCERRPN |
64 |
BCD*10.3 |
Bank Error Pending To Fiscal Per |
E A |
|
| RECFCERR |
65 |
BCD*10.3 |
Bank Error To Fiscal Period |
E A |
|
| RECFCENTRE |
66 |
BCD*10.3 |
Reconciled Entries To Fiscal Per |
E A |
|
|