View: Bank Journal Transaction Details

RotoID: BK0650
Table: BKJTRAND
Protocol: Detail, Ordered revisions
DLL:BKJTRAND

Compositions: 1

RotoID Tables Title DLL

BK0655 BKJTRANH Bank Journal Transaction Header BKJTRANH

Keys: 1

Title Fields

Bank Journal Transaction Detail PSTSEQBANKSERIALLINE

Fields: 88

Field Index Type Title Attributes Presentation

PSTSEQ 1 BCD*5.0 Posting Sequence E A K R 
BANK 2 String*8 Bank Code E A K R  Mask: %-8N
SERIAL 3 ??? Transaction Header Serial E A K R 
LINE 4 Long Transaction Detail Line E A K R 
SRCEAPP 5 String*2 Source Application E A  Mask: %-2N
STATUS 6 Integer Transaction Detail Status E A  List:12 entries
1 = Not Posted
2 = Void
3 = Outstanding
4 = Reversed
5 = Cleared
6 = Cleared with bank error
7 = Non-negotiable
8 = Continuation
9 = Printed
10 = Cleared with write-off
11 = Cleared with exchange rate difference
12 = Cleared with credit card charge
TRANSTYPE 7 Integer Transaction Type E A  List:2 entries
1 = Withdrawals
2 = Deposits
TYPE 8 Integer Detail Transaction Type E A  List:7 entries
1 = Check
2 = EFT
3 = Transfer
4 = Service Charge
5 = Credit Card
6 = Cash
7 = Other
IDREMIT 9 String*24 Remittance ID E A 
DATEREMIT 10 Date Transaction Date E A 
BTCHNBR 11 BCD*5.0 Batch Number E A 
ENTRYNBR 12 BCD*4.0 Entry Number E A 
POSTSEQ 13 BCD*5.0 Posting Sequence Number E A 
REFERENCE 14 String*60 Transaction Reference E A 
COMMENT 15 String*60 Transaction Description E A 
PAYORID 16 String*12 Payer Code E A  Mask: %-12C
PAYORNAME 17 String*60 Payee Name E A 
VENDORNAME 18 String*60 Vendor Name E A 
SRCEAMOUNT 19 BCD*10.3 Source Transaction Amount E A 
FUNCAMOUNT 20 BCD*10.3 Functional Transaction Amount E A 
RATETYPE 21 String*2 Exchange Rate Type E A  Mask: %-2N
SRCECURN 22 String*3 Receipt Currency E A  Mask: %-3N
RATEDATE 23 Date Exchange Rate Date E A 
RATE 24 BCD*8.7 Exchange Rate E A 
RATESPREAD 25 BCD*8.7 Rate Spread E A 
RATEOP 26 Integer Rate Operation E A  List:3 entries
1 = Multiply
2 = Divide
0 = Not Specified
DISTCODE 27 String*6 Distribution Code E A  Mask: %-6N
GLACCOUNT 28 String*45 G/L Account E A  Mask: %-45C
GLACCTOVR 29 Boolean GL Account Override E A 
DDTYPE 35 Integer Drilldown Type E A 
DDLINK 36 BCD*10.0 Drilldown Link E A 
RECSTATUS 37 Integer Reconciliation Status E A  List:12 entries
1 = Not Posted
2 = Void
3 = Outstanding
4 = Reversed
5 = Cleared
6 = Cleared with bank error
7 = Non-negotiable
8 = Continuation
9 = Printed
10 = Cleared with write-off
11 = Cleared with exchange rate difference
12 = Cleared with credit card charge
RECSTATCHG 38 Date Status Change Date E A 
RECCOMMENT 39 String*60 Reconciliation Description E A 
RECCLEARED 40 BCD*10.3 Cleared Amount E A 
POSTDATE 41 Date Reconciliation Posting Date E A 
POSTYEAR 42 String*4 Reconciliation Posting Year E A  Mask: %04D
POSTPERIOD 43 Integer Reconciliation Posting Period E A 
RECONCILED 44 Boolean Reconciled E A 
RECPENDING 45 BCD*10.3 Remaining In Transit Amount E A 
RECERR 46 BCD*10.3 Reconciliation Error E A 
RECERRPEND 47 BCD*10.3 Reconciliation Error Pending E A 
RECEXGAIN 48 BCD*10.3 Reconciliation Exchange Gain E A 
RECEXLOSS 49 BCD*10.3 Reconciliation Exchange Loss E A 
RECSUGGEST 50 Integer Reconciliation Suggestion E A  List:12 entries
1 = Not Posted
2 = Void
3 = Outstanding
4 = Reversed
5 = Cleared
6 = Cleared with bank error
7 = Non-negotiable
8 = Continuation
9 = Printed
10 = Cleared with write-off
11 = Cleared with exchange rate difference
12 = Cleared with credit card charge
RECAMOUNT 51 BCD*10.3 Transaction Amount E A 
RECOUTSTND 52 BCD*10.3 Outstanding Amount E A 
RECTARGET 53 Integer Reconciliation Target E A 
RECCCC 54 BCD*10.3 Reconciliation Credit Card Charge E A 
RECWOSUM 55 BCD*10.3 Write-Off Amount E A 
CURFUNC 56 String*3 Functional Currency E A 
CURSTMT 57 String*3 Statement Currency E A 
SUMAMOUNT 58 BCD*10.3 Summated Transaction Amount E A 
RECSPREAD 59 BCD*10.3 Reconciliation Spread E A 
RECPAMOUNT 60 BCD*10.3 Fiscal Transaction Remaining In Transit E A 
RECPOUTSTD 61 BCD*10.3 Fiscal Outstanding Amount E A 
RECPWO 62 BCD*10.3 Fiscal Write Offs E A 
RECPERR 63 BCD*10.3 Fiscal Bank Errors E A 
RECPGAIN 64 BCD*10.3 Fiscal Exchange Gain E A 
RECPLOSS 65 BCD*10.3 Fiscal Exchange Loss E A 
RECPCCC 66 BCD*10.3 Fiscal Credit Card Charge E A 
RECPCLR 67 BCD*10.3 Fiscal Cleared E A 
RECPFUNAM 68 BCD*10.3 Fiscal Functional Amount E A 
RECPORIG 69 BCD*10.3 Fiscal Original Transaction Amount E A 
RECTBOOK 70 BCD*10.3 Total Book Amount E A 
RECPBOOK 71 BCD*10.3 Fiscal Book Amount E A 
RECTREMAIN 72 BCD*10.3 Total Remaining Amount E A 
RECPREMAIN 73 BCD*10.3 Fiscal Remaining Amount E A 
RECRWOSUM 74 BCD*10.3 Fiscal Write-Off To This Period E A 
RECFCLR 75 BCD*10.3 Fiscal Cleared To Future E A 
RECRCLR 76 BCD*10.3 Fiscal Cleared To Current E A 
RECWOSUMR 77 BCD*10.3 Current Period's Write-Off E A 
RECFCLRR 78 BCD*10.3 Posted Fiscal Cleared To Future E A 
PAYMCODE 79 String*12 Payment Code E A 
CHKFORM 80 String*6 Check Stock Code E A  Mask: %-6N
OFXTID 81 String*50 OFX Transaction ID E A 
RECDELTAF 82 BCD*10.3 Future Reconciliation Delta E A 
FSCYEAR 83 String*4 Fiscal Year E A  Mask: %04D
FSCPERIOD 84 Integer Fiscal Period E A 
REVDATE 85 Date Reversal/Return Date E A 
SRCEDOCNUM 86 String*22 Source Document Number E A 
CANREVINVC 87 Integer Can Reverse Invoice E A  List:2 entries
0 = No
1 = Yes
REVINVC 88 Integer Reverse Invoice E A  List:2 entries
0 = No
1 = Yes
COMPLETED 89 Integer Reconciled and Journaled Transaction E A  List:2 entries
0 = Not Completed
10 = Completed
ENTRYTYPE 90 Integer Entry Type E A 
RECDELTA 91 BCD*10.3 Reconciliation Amount Delta E A 
POSTED 92 Date Document Posted Date E A 
RECLEVEL 93 Integer Reconciled By E A  List:2 entries
0 = Reconciled by Header
1 = Reconciled by Detail