Integration with other Infor solutions
Select
:This table shows a list of forms in Financials solutions and corresponding fields where content is updated on the Custodial Account Detail tab:
Solution | Form | Trigger | Field updated |
---|---|---|---|
Cash | Cash Receipt | Release | Deposits |
Cash | Cash Payment | Release | Disbursements |
Cash | Cash Ledger Transaction | Release | When the bank code and the transfer code are identical, theTransfers field is updated. |
Cash | Cash Ledger Transaction | Release | When the bank transaction code is different from the transfer code, theDisbursement field is updated. |
Cash | Cash Ledger Transaction | Release | When the bank transaction code is different from the transfer code and the amount is a credit, the Deposit field is updated. |
Payables | Payables Invoice | Release | Commit |
Payables | Payables Payment | Payment Close | Disbursement |
Receivables | Non-AR Cash | Release | Deposit |
Global Ledger | Manual Journal Interfaced Journal |
Release | When the amount is a debit, the Deposit field is updated. |
Global Ledger | Manual Journal Interfaced Journal |
Release | When the amount is a credit, the Disbursement field is updated. |
Global Ledger | Interest Allocation | Release | Interest |
Custodial Account Management | Transfer | Release | The Transfer field is updated when
these are true:
|
This table shows a list of forms and how the Activity Type field on the Activity tab is updated:
Solution | Form | Trigger | Activity type |
---|---|---|---|
Cash | Cash Receipt | Release | Deposit |
Cash | Cash Payment | Release | Disbursement |
Cash | Cash Ledger Transaction | Release | When the bank code is the same as the transfer code, the activity type is Transfer. |
Cash | Cash Ledger Transaction | Release | When the bank transaction code is different from the transfer code, the activity type is Disbursement. |
Cash | Cash Ledger Transaction | Release | When the bank transaction code is different from the transfer code and the amount is a credit, the activity type is Deposit |
Payables | Payables Payment | Payment Close | When the vendor is different from the vendor on the custodial record, the activity type is Disbursement. |
Payables | Payables Payment | Payment Close | When the vendor is the same as the vendor on the custodial record, the activity type is Withdrawal. |
Receivables | Non-AR Cash | Release | Deposit |
Global Ledger | Manual Journal Interfaced Journal |
Release | When the amount is a debit or credit, the activity type is Journal Entry. |
Custodial Account Management | Transfer | Release | The activity type is Transfer when these are true:
|