Bursting enabled reports
This table shows the bursting enables report and level breaks:
Program code | Program name | Level break 1 | Level break 2 | Level break 3 |
---|---|---|---|---|
AC105 | Account Category Copy | ACCOUNT CATEGORY | ||
AC110 | Activity Copy | REPORT GROUP | ||
AC112 | Mass Activity Status Change | ACTIVITY GROUP | ||
AC120 | Level Reorganization | |||
AC123 | Budget Copy | ERROR NUMBER | ||
ACTIVITY GROUP | ||||
AC127 | Budget Interface | PROCESS TYPE | ACTIVITY GROUP | ACTIVITY |
AC130 | Allocation Calculation | ALLOCATION GROUP | ||
ERROR NUMBER | POOL NAME | |||
ERROR NUMBER | STEP | |||
ERROR NUMBER | ALLOCATION CODE | |||
ERROR NUMBER | ||||
AC131 | Allocation Update | ALLOCATION GROUP | STEP | |
ALLOCATION NAME | ||||
AC160 | Asset Interface | ACTIVITY | ||
ACTIVITY GROUP | ||||
MATRIX LIST | ||||
AC165 | Percent Complete Calculation | REPORT DETAIL | ||
AC167 | Mass Transaction Hold | ACTIVITY GROUP | ||
AC170 | Recurring Journal Update | ACTIVITY | ACTIVITY GROUP | |
AC176 | Recurring Commitment Journal | COMPANY | ||
AC190 | Activity Posting | ACTIVITY GROUP | CATEGORY | ACTIVITY |
AC191 | Accounting Unit Balance Post | ACCOUNT GROUP | ACTIVITY | ACTIVITY CATEGORY |
AC195 | System Control | COMPANY | COMPANY GROUP | |
AC196 | Activity Time Reconciliation | COMPANY | ACTIVITY GROUP | ACTIVITY |
AC200 | Activity Group Listing | ACTIVITY GROUP | ||
AC202 | Status Listing | |||
AC203 | Resource Assignment Listing | ACTIVITY | ||
AC204 | GL Code Listing | |||
AC205 | Account Category Listing | |||
AC206 | Acct Cat Assignment Listing | ACTIVITY GROUP | ACTIVITY | MATRIX LIST |
AC207 | Account Assignment Listing | ACTIVITY GROUP | ACTIVITY | MATRIX LIST |
AC208 | Process Group Listing | REPORT OPTION | ||
AC213 | Activity Attribute Listing | |||
AC214 | Contract Listing | |||
AC215 | Billing Listing | |||
AC217 | Resource Rate Listing | |||
AC218 | Activity Resource Rate Listing | |||
AC219 | Retainer Listing | |||
AC220 | Budget Listing | ACTIVITY | ACTIVITY GROUP | |
AC223 | Spread Code Listing | |||
AC225 | Budget Control Report | ACTIVITY GROUP | ||
AC227 | Budget Interface Listing | RUN GROUP | ||
AC228 | Activity Grp Relationship List | |||
AC229 | Activity Relationship Listing | |||
AC230 | Allocation Listing | ALLOCATION NAME | ALLOCATION GROUP | |
AC240 | Journal Edit Listing | ACTIVITY GROUP | CATEGORY | ACTIVITY |
AC255 | Transaction Writer Listing | REPORT OPTION | FOLDER NAME | |
AC256 | Transaction Writer Report | REPORT OPTION | FOLDER NAME | |
AC260 | Burden Code Listing | |||
AC261 | Burden Assignment Listing | ACTIVITY | ACTIVITY GROUP | ACCOUNT CATEGORY |
AC262 | Pool Driver Values Listing | |||
AC263 | Provisional and Billing Rate Listing | |||
AC265 | Percent Complete Report | ACTIVITY GROUP | ||
AC266 | Contract Percent Complete Rpt | ACTIVITY GROUP | ||
AC276 | Recurring Encumbrance Listing | |||
AC290 | Transaction Listing | ACTIVITY GROUP | ACTIVITY | ACCOUNT CATEGORY |
AC295 | Activity Commitment Summary | ACTIVITY GROUP | ||
AC297 | Encumbrance Analysis Report | ACTIVITY GROUP | ||
AC298 | Commitment Detail Report | ACTIVITY GROUP | ||
AC300 | Activity Group Purge | |||
AC310 | Activity Purge | |||
AC400 | Activity Group Analysis Report | |||
AC401 | Activity Trend | ACTIVITY GROUP | ACTIVITY | |
AC410 | Activity Analysis Report | ACTIVITY GROUP | ACTIVITY | |
AC412 | Activity Status Report | ACTIVITY GROUP | MATRIX LIST | ACTIVITY |
AC415 | Billing History | ACTIVITY | ||
AC416 | Billing Invoice Reprint | NO LONGER VALID | ||
AC418 | Milestone Analysis | ACTIVITY | ACTIVITY GROUP | MATRIX LIST |
AC420 | Budget Variance Report | REPORT OPTION | ||
AC421 | Change Order History | REPORT OPTION | ||
AC440 | Resource Charge | ACTIVITY GROUP | RESOURCE TYPE | RESOURCE CODE |
AC450 | Activity Aging | CUSTOMER | ACCOUNT CATEGORY | |
AC460 | Capitalization History | ACTIVITY | ASSET TEMPLATE | ACTIVITY GROUP |
AC470 | Revenue History | ACCOUNT CATEGORY | ACTIVITY | ACTIVITY GROUP |
AC471 | Bill of Costs | ACTIVITY GROUP | ACTIVITY | |
AC472 | Bill of Activities | ACTIVITY GROUP | ||
AC473 | Profit and Loss Statement | ACTIVITY GROUP | ACTIVITY | CATEGORY TYPE |
AC480 | Activity Balances | ACTIVITY | ACTIVITY GROUP | |
AC490 | Activity Reconciliation (Sort A) | ACTIVITY | PERIOD | COMPANY |
Activity Reconciliation (Sort B) | COMPANY | ACTIVITY | ||
Activity Reconciliation (Sort C) | ACTIVITY | PERIOD | COMPANY | |
Activity Reconciliation (Sort D) | COMPANY | PERIOD | ACTIVITY | |
AC493 | Output Measure Analysis | ACTIVITY GROUP | OUTPUT MEASURE TYPE | |
AC494 | Activity Acct Unit Analysis | ACTIVITY GROUP | ACCOUNTING UNIT | COMPANY |
AC500 | Activity Interface | ACTIVITY GROUP | ||
AC510 | Attribute Interface | RECORD TYPE | ||
AC520 | Resource Interface | ACTIVITY GROUP | ||
AC530 | Activity Time Interface | ACTIVITY GROUP | COMPANY | PROCESS LEVEL |
AC540 | Transaction Interface | MESSAGE | ACTIVITY | COMPANY |
AC581 | Mass Report Currency Change | ACTIVITY GROUP | ACTIVITY | |
AD121 | Budget Calculation | REPORT OPTION | ||
AD190 | Transaction Posting | COMPANY | ACCOUNTING UNIT | ACCOUNT |
AD191 | Cost of Funds | COMPANY | ACCOUNTING UNIT | ACCOUNT |
AD220 | Account Listing | COMPANY | ACCOUNTING UNIT | ACCOUNT |
AM115 | Mass Additions | COMPANY | LOCATION NAME | DIVISION |
AM118 | Repair Release | COMPANY | LOCATION NAME | DIVISION |
AM120 | Asset Book Copy | BOOK | COMPANY | LOCATION NAME |
AM125 | Mass Adjustments | COMPANY | ASSET | TAG NUMBER |
AM135 | Mass Transfers | COMPANY | LOCATION NAME | DIVISION |
AM145 | Mass Disposals | COMPANY | LOCATION NAME | DIVISION |
AM170 | Processing Release | COMPANY | ACCOUNTING UNIT | BOOK |
AM180 | Depreciation Calculation and Listing | BOOK | COMPANY | LEASE COMPANY |
AM185 | Insurance and Replacement Calc | BOOK | COMPANY | LOCATION NAME |
AM190 | Period Close | BOOK | COMPANY | ACCOUNTING UNIT |
AM192 | Short Year Close | BOOK | COMPANY | ACCOUNTING UNIT |
AM195 | Year End Close | BOOK | ||
AM200 | System Setup Listings (Book) | BOOK | ||
System Setup Listings (Calendar) | CALENDAR STATUS | BOOK | ||
System Setup Listings (Locations) | LOCATION | |||
System Setup Listings (Divisions) | DIVISION | |||
System Setup Listings (Property) | PROPERTY | |||
System Setup Listings (Methods) | METHOD TYPE | RECORD TYPE | ||
System Setup Listings (Table) | TABLE | |||
System Setup Listings (Personal Use) | PERSONAL USE | |||
AM205 | Company Setup Listings | COMPANY | ACCOUNT GROUP | ASSET |
COMPANY | ASSET | ACCOUNT GROUPS | ||
COMPANY | ||||
AM210 | Book Group Listing | BOOK GROUP | ||
AM212 | Addition Template Listing | |||
AM213 | Asset Group Listing | |||
AM220 | Addition Report | BOOK | COMPANY | LEASE |
AM221 | Asset, Tag Listing | COMPANY | LEASE | ACCOUNTING UNIT |
AM222 | Asset Book Listing | COMPANY | LEASE | LOCATION NAME |
AM223 | Item Listing | COMPANY | LOCATION NAME | |
AM224 | Repair Report | COMPANY | LOCATION NAME | DIVISION |
AM225 | Adjustment Report | COMPANY | LEASE | LOCATION NAME |
AM230 | Transfer Report | BOOK | COMPANY | LEASE |
AM235 | Item Transfer Report | COMPANY | LEASE | LOCATION NAME |
AM240 | Disposal Report | BOOK | COMPANY | ACCOUNTING UNIT |
AM245 | Item Disposal Report | COMPANY | LEASE | LOCATION NAME |
AM250 | Inventory Worksheet | COMPANY | LEASE | LOCATION NAME |
AM251 | Item Adjustment Interface Listing | COMPANY | RUN GROUP | ASSET |
AM252 | Inventory Comparison | RUN GROUP | COMPANY | INVENTORY LOCATION |
AM255 | Projection Report | BOOK | COMPANY | ACCOUNTING UNIT |
AM260 | Asset Report | BOOK | COMPANY | LEASE |
AM265 | Property Report | BOOK | COMPANY | PROPERTY |
AM270 | Account Balance Report | COMPANY | ACCOUNTING UNIT | |
AM275 | Transaction Report | COMPANY | BOOK | |
AM277 | Activity Report | BOOK | COMPANY | ACTIVITY |
AM278 | Leased Asset Report | BOOK | COMPANY | ACCOUNTING UNIT |
AM280 | Current Year Depreciation Report | BOOK | COMPANY | ACCOUNTING UNIT |
AM281 | Depreciation History Report | BOOK | COMPANY | LOCATION NAME |
AM285 | Book Comparison Report | COMPANY | LOCATION NAME | DIVISION |
AM290 | Tax Credit Report | BOOK | COMPANY | LOCATION NAME |
AM292 | Recapture Report | BOOK | COMPANY | LOCATION NAME |
AM295 | FASB Reconciliation Report | BOOK | COMPANY | LOCATION NAME |
AM300 | Historical Purge | COMPANY | COMPANY GROUP | |
AM310 | Book Purge | COMPANY | COMPANY GROUP | |
AM500 | Asset Management Interface | COMPANY | ||
AM520 | Book Name Change | COMPANY GROUP | ||
AM550 | Dictionary Load and Listing | |||
AM551 | Item Update Adjustment Interface | COMPANY | RUN GROUP | ASSET |
AM580 | Depreciation Recalculation | BOOK | COMPANY | LOCATION NAME |
AP275 | Invoice Distribution History (Process level Sequence set to Y, Report Option set to A) | PROCESS LEVEL | ACTIVITY | |
Invoice Distribution History (Process level Sequence set to Y, Report Option set to G) | PROCESS LEVEL | ACCOUNTING ACCT | ||
Invoice Distribution History (Process level Sequence set to N, Report Option set to A) | ACTIVITY | |||
Invoice Distribution History (Process level Sequence set to N, Report Option set to G) | ACCT UNIT | |||
AR245 | Disputed Transaction Report | COMPANY | DISPUTE CODE | |
BL293 | GLDistribution Report | COMPANY | PROCESS LEVEL | |
BN231 | Employee Benefit Report | |||
BR130 | Activity Revenue Calculation | ACTIVITY | ACTIVITY GROUP | |
CA110 | Allocation Calculation | COMPANY | ||
CA190 | Allocation Interface | COMPANY | ||
CA195 | Budget Allocation Interface | COMPANY | ||
CA199 | Allocation Closing | COMPANY | ||
CA200 | Allocation Group Listing | ALLOCATION GROUP | ALLOCATION TYPE | COMPANY |
CA205 | Allocation Code Listing | ALLOCATION CODE | ||
CA210 | Allocation Edit Listing | COMPANY | ||
CA215 | Allocation Control Listing | COMPANY | ||
CA240 | Allocation Comparison | COMPANY | ||
CA290 | Allocation Ledger | COMPANY | ||
CB175 | Bank Transaction Posting | COMPANY | CASH CODE | DIST COMPANY |
CB180 | Cash Ledger Void Update | COMPANY | BANK INST CODE | CASH CODE |
CB185 | Bank Tape Mass Reconciliation | CASH CODE | BANK INST. CODE | |
CB190 | Bank Period Close | RECONCILE DATE | CASH CODE | BANK INST. CODE |
CB191 | Bank Statement Close | CASH CODE | ||
CB195 | Company Period Close | COMPANY | CASH CODE | |
CB210 | Cash Receipt Deposit Listing | BANK INST CODE | CASH CODE | |
CB215 | Bank Transfer Listing | CASH CODE | TRANSFER DATE | |
CB220 | Bank History Report | BANK INST CODE | ISSUE DATE | CASH CODE |
CB221 | Bank Transaction Listing | BANK INST CODE | ISSUE DATE | CASH CODE |
CB260 | Cash Account Activity | CASH CODE | BANK INST CODE | TRANS NBR. |
CB300 | History Purge | CASH CODE | ||
CB500 | Bank Transaction Interface | BANK INST CODE | CASH CODE | |
CB733 | Unload Recon Stmt Nbrs | CASH CODE | ||
CU160 | Currency Rate Interface | CURRENCY TABLE | ||
CU201 | Currency Codes Listing | CURRENCY CODE | ||
CU202 | Currency Relationship Listing | |||
CU203 | Company Currency Gain/Loss Acc | COMPANY | ||
CU205 | Translation Code Listing | |||
CU210 | Exchange Rate Listing | |||
CU220 | Translation Rate Listing | COMPANY | FISCAL YEAR | BUDGET NUMBER |
FISCAL YEAR | BUDGET NUMBER | |||
CU260 | Currency Rate Interface Listing | CURRENCY TABLE | ||
CU300 | Currency Rate History Delete | CURRENCY TABLE | FROM CURRENCY | |
DDDEL | Flag GL System as Delete Status | |||
FB100 | Budget Calculation - Computes | COMPANY | ||
FB101 | Budget Calculation - Rates | COMPANY | ||
FB120 | Intracompany Mass Budgeting | COMPANY | ||
FB121 | Intercompany Mass Budgeting | COMPANY | ||
FB122 | Budget Version | COMPANY | ||
FB141 | Remote Budget Consolidation | COMPANY | ||
FB165 | Budget Interface | RUN GROUP | COMPANY | FISCAL YEAR |
FB195 | Translation Calculation | COMPANY | ||
FB200 | Global Factors Listing | |||
FB201 | User Class Listing | USER CLASS | HEAD TYPE | |
FB210 | Spread Code Listing | COMPANY | FISCAL YEAR | |
FB220 | Budget Listing | BUDGET NUMBER | ||
VERSION | ||||
FB225 | Budget Control Report | COMPANY | ||
FB230 | Computed By Acct Unit Listing | BUDGET NUMBER | SEQUENCE KEY | |
FB231 | Computed By Account Listing | COMPANY | BUDGET NUMBER | ACCOUNT |
FB265 | Budget Interface Listing | RUN GROUP | COMPANY | |
FB295 | Budget to Budget Analysis | RECORD TYPE | SEQUENCE KEY | |
GL100 | Mass Chart Acct Change Delete | CHART NAME | ||
GL105 | System, Source Code Load | |||
GL106 | Subledger Attribute Load | |||
GL107 | Country Code Load | |||
GL110 | Company Copy Delete | COMPANY | ||
GL120 | Level Reorganization | COMPANY | ||
GL121 | Mass Account Addition | COMPANY | ||
GL122 | Mass Account Change Delete | COMPANY | VAR LEVELS | |
GL123 | Acct Unit Template Conversion | RUN GROUP | ||
GL124 | Mass Accounting Unit Addition | RUN GROUP | COMPANY | TEMPLATE NAME |
GL130 | Chart Map Creation | COMPANY | ||
GL135 | Intercompany Chart Map Posting | COMPANY | ||
GL141 | Consolidation Unload | COMPANY | BUDGET NUMBER | |
GL145 | Journal Entry Hold Release | COMPANY | ||
GL146 | Journal Backout and Unrelease | COMPANY | ||
GL160 | Chart Of Accounts Interface | CHART NAME | ||
GL161 | Accounting Unit Interface | COMPANY | ||
GL162 | AU Attribute Interface | RUN GROUP | ||
GL167 | Balance Interface | COMPANY | FISCAL YEAR | |
GL170 | Recurring Journal Interface | |||
GL179 | Recurring Journal Closing | COMPANY | ||
GL190 | Journal Posting | |||
GL191 | Currency Revaluation | COMPANY | CURRENCY CODE | |
GL195 | Translation Calculation | COMPANY | FISCAL YEAR | VAR LEVELS |
GL196 | Report Currency Translation | COMPANY | ||
GL198 | Non-GL Period Closing | COMPANY | ||
GL199 | Period Closing | COMPANY | ||
GL200 | Chart of Accounts Listing | CHART NAME | ||
GL201 | System Control Listing | COMPANY | ||
GL204 | Reconciliation Code Listing | RECORD TYPE | ||
GL205 | Source Code Listing | |||
GL208 | Organization Relationship List | |||
GL209 | Account Relationship Listing | |||
GL210 | Company Listing | COMPANY | ||
GL211 | Company Group Listing | COMPANY GROUP | ||
GL213 | Subaccount Template Listing | SUBACCOUNT TEMPLATE | ||
GL214 | Accounting Unit Template List | ACCOUNT UNIT TEMPLATE | ||
GL215 | Chart Compare | CHART NAME | ||
GL216 | Acct Unit-Accts Template List | ACCOUNT UNIT TEMPLATE | ||
GL219 | Language Code Listing | |||
GL220 | Accounting Unit Listing | COMPANY | ||
GL221 | Posting Accounts Listing | COMPANY | ACCOUNTING UNIT | |
GL222 | Posting Accounts Listing by Account | COMPANY | ACCOUNT | |
GL222 | Chart of Accounts by Account | COMPANY | ACCOUNT | |
GL223 | Template Conversion Listing | COMPANY | ||
GL225 | Intercompany Relationship List | COMPANY | ||
GL230 | Interzone Relationship Listing | COMPANY | ||
GL238 | Split Distribution Report | COMPANY | ||
GL240 | Journal Edit Listing | COMPANY | ||
GL241 | Period Transaction Listing | COMPANY | ||
GL243 | Daily Transaction Listing | COMPANY | ||
GL245 | Journal Control Report | COMPANY | ||
GL247 | Centralization Book Report | FISCAL YEAR | ACCOUNT PERIOD | |
GL247 | FISCAL YEAR | JOURNAL BOOK NUMBER | ||
GL250 | Ledger Report Listing | COMPANY | ||
GL255 | Transaction Writer Listing | |||
GL256 | Transaction Writer Report | |||
GL260 | Chart Interface Listing | CHART NAME | ||
GL261 | Acct Unit Interface Listing | COMPANY | ||
GL262 | AU Attribute Interface Listing | RUN GROUP | ||
GL265 | Transaction Interface Listing | |||
GL267 | Balance Interface Listing | COMPANY | FISCAL YEAR | |
GL270 | Recurring Journal Edit Listing | COMPANY | ||
GL275 | Recurring Journal Control Report | COMPANY | ||
GL281 | French Trial Balance | RECORD TYPE | SEQUENCE KEY | |
GL284 | AP Grand Livre Report - Period | COMPANY | VENDOR | ACCOUNT PERIOD |
COMPANY | VENDOR | ACCOUNT | ||
COMPANY | VENDOR | SUB ACCOUNT | ||
COMPANY | VENDOR | ACCOUNTING UNIT | ||
GL285 | AP Grand Livre Report - Date | COMPANY | VENDOR | ACCOUNTING UNIT |
COMPANY | VENDOR | ACCOUNT | ||
GL286 | AR Grand Livre Report - Period | COMPANY | ACCOUNT PERIOD | CUSTOMER |
COMPANY | CUSTOMER | ACCOUNT | ||
COMPANY | CUSTOMER | ACCOUNTING UNIT | ||
GL287 | AR Grand Livre Report - Date | COMPANY | CUSTOMER | ACCOUNTING UNIT |
COMPANY | CUSTOMER | ACCOUNT | ||
COMPANY | CUSTOMER | ACCOUNTING UNIT | ||
GL288 | GL Grand Livre Report - Period | COMPANY | FISCAL YEAR | ACCOUNT |
GL289 | GL Grand Livre Report - Date | COMPANY | ACCOUNTING UNIT | ACCOUNT |
COMPANY | ACCOUNT | SUB ACCOUNT | ||
COMPANY | ||||
COMPANY | ACCOUNTING UNIT | |||
GL290 | General Ledger Report | COMPANY | ||
GL291 | Trial Balance | COMPANY | ACCOUNTING UNIT | |
COMPANY | LEVEL ADDRESS | |||
GL292 | Balance Sheet | COMPANY | ACCOUNTING ACCT | |
COMPANY | LEVEL ADDRESS | |||
GL293 | Income Statement | COMPANY | ACCOUNTING UNIT | |
COMPANY | LEVEL ADDRESS | |||
GL294 | Projection By Level | COMPANY | ACCOUNTING UNIT | |
COMPANY | LEVEL ADDRESS | |||
GL295 | Projection By Account | COMPANY | ACCOUNT | |
GL296 | Currency Exposure Report | COMPANY/ | ACCOUNTING UNIT | |
COMPANY | VAR LEVELS | |||
GL297 | Posting Sequence Number Report | COMPANY | FISCAL YEAR | |
GL300 | General Ledger History Delete | COMPANY | ||
GL311 | Remote Site GL Transaction Upl | MACHINE CODE | ||
GL312 | Glitrans Load from 61 to 80 | |||
GL313 | Glitrans Load from 60 to 80 | |||
GL320 | Consolidation File Creation | FISCAL YEAR | ||
GL324 | Glamounts Validation | COMPANY | ||
GL325 | Glamounts File Rebuild | COMPANY | ||
GL326 | Glamountsx File Rebuild | COMPANY | ||
GL327 | Report Currency File Rebuild | COMPANY | ||
GL328 | Daily Report Currency Rebuild | COMPANY | AMT TYPE | |
GL330 | Undistributed RE Rebuild | COMPANY | ||
GL342 | Journal Entry Log Mass Delete | COMPANY | ||
GL500 | Fiscal Year Change | COMPANY | ||
GLSR | GL Security Report | |||
HR211 | Employee Listing | COMPANY | ||
EMPLOYEE | ||||
IC240 | General Ledger Audit Report | ACCOUNTING UNIT | ||
IC280 | Report Writer3rd option, Summary Report | LOCATION | ||
IFJR | Interface JE Report | |||
IFTR | Print interface for IFTR80PD | |||
IN201 | Intrastat Country Code Listing | COUNTRY CODE | ||
IN202 | Intrastat Codes Listing | |||
JB200 | Journal Book Listing | COMPANY | ||
JB240 | Journal Book Report | COMPANY | ||
JB240 | COMPANY | FISCAL YEAR | ACCOUNT PERIOD | |
LM121 | Mass Lease Release | RELEASE OPTION | ||
LM131 | Invoice Creation | COMPANY | LEASE | |
LM135 | Lease Audit Report | COMPANY | LEASE | |
LM136 | Mass Payment Approval | COMPANY | AUTH CODE | |
LM140 | AP Interface | COMPANY | AUTH CODE | VENDOR |
LM180 | Interest Calculation Report | COMPANY | ||
LM190 | Lease Posting Report | COMPANY | LEASE | |
LM199 | Period Closing | UPDATE OPTION | ||
LM205 | Executory Cost Code Listing | |||
LM206 | Lease Type Listing | |||
LM221 | Lease Listing | COMPANY | COMPANY GROUP | MATRIX LIST |
LM223 | Lease Attribute Listing | SORT OPTION | ||
LM230 | Payment Schedule Listing | COMPANY GROUP | ||
LM231 | Invoice Listing | COMPANY | AUTH CODE | |
LM245 | Lease Terminations | COMPANY | LESSOR | |
LM246 | New Debt Report | COMPANY | LESSOR | |
LM250 | Lease Conversion Listing | COMPAN | ||
LM300 | Lease Purge | COMPANY | ||
LM421 | Lease Analysis Report | COMPANY | LESSOR | LEASE |
LM430 | Lease Projections | COMPANY | LEASE | |
LM500 | Lease Interface | RUN GROUP | ||
LM551 | Payment Schedule Interface | RUN GROUP | ||
LP220 | Employee Absence Plan or Leave History Report | ABSENCE PLAN | EMPLOYEE | |
MX100 | Attribute, Element Load | |||
MX123 | List Member Build | OBJECT TYPE | ||
MX200 | Element Listing | |||
MX201 | Attribute Listing | |||
MX205 | Template Listing | OBJECT TYPE | ||
MX210 | List Listing | OBJECT TYPE | MATRIX LIST | |
MX220 | View Listing | OBJECT TYPE | ||
MX223 | List Member Listing | OBJECT TYPE | ||
PB140 | Earnings, Ded, and Billing Calc | EMPLOYEE | DEPARTMENT | PROCESS LEVEL |
PB150 | Distribution Edit | PROCESS LEVEL DEPARTMENT | EMPLOYEE | COMPANY |
PB198 | Benefits Pre-Billing | COMPANY | TO COMPANY | POSTING DATE |
PB199 | Billing, Payroll Close | COMPANY | TO COMPANY | POSTING DATE |
PB199 | COMPANY | VENDOR | INVOICE | |
PB200 | Client Parameter Listing | PROCESS LEVEL | ||
PB202 | Deduction Group Listing | DEDUCTION GRP | ||
PB205 | Deduction and Fee Code Accounts | PROCESS LEVEL | ||
PB208 | Worker's Comp Book Rate Listing | WC CODE | ||
PB215 | Client Billing Listing | PROCESS LEVEL | ||
PB216 | Fee Billing Rate Listing | PROCESS LEVEL | ||
PB217 | Job Code Billing Rate Listing | PROCESS LEVEL | ||
PB218 | Worker's Comp Billing Rate Listing | PROCESS LEVEL | WC CODE | |
PB219 | SUI Billing Rate Listing | PROCESS LEVEL | ||
PB299 | Invoice Projection | COMPANY | ||
PB400 | Time Card Turnaround Report | PROCESS LEVEL | DEPARTMENT | POSITION |
PB401 | Payroll Worksheet | PROCESS LEVEL | DEPARTMENT | POSITION |
PB403 | Labor Detail Report | PROCESS LEVEL | WORKSITE | DEPARTMENT |
PB415 | Client Setup Verification Report | PROCESS LEVEL | ||
PB418 | Worker's Compensation Report | WC STATE | EMPLOYEE | PROCESS LEVEL |
PB419 | SUI Quarterly Report | PROCESS LEVEL | STATE | DEPARTMENT |
PB432 | Certified Payroll Report | PROCESS LEVEL | DEPARTMENT | POSITION |
PB490 | Invoice Employee Detail | COMPANY | PROCESS LEVEL | INVOICE |
PB491 | Employee Pay Detail | COMPANY | PROCESS LEVEL | DEPARTMENT |
PB492 | Payroll Employees Billing Report | COMPANY | PROCESS LEVEL | INVOICE |
PB493 | Labor Detail Report | COMPANY | PROCESS LEVEL | INVOICE |
PB494 | Job Cost Detail Report | COMPANY | PROCESS LEVEL | INVOICE |
PB499 | Invoice Report | COMPANY | ||
PO122 | Transmitted PO Acknowledgment | COMPANY | BUYER | |
PR132 | FLSA Overtime Calculation | COMPANY | ||
PROCESS LEVEL | ||||
DEPARTMENT | ||||
PO135 | Received, not Invoiced | CURRENCY | LOCATION | ACCOUNTING ACCT |
PR141 | Payroll Register | COMPANY | PROCESS LEVEL | DEPARTMENT |
PR195 | Accrual Program | COMPANY | ||
PR197 | Payroll Close | COMPANY | PROCESS LEVEL | DEPARTMENT |
PR260 | Payment Detail Listing | COMPANY | ||
PROCESS LEVEL | ||||
DEPARTMENT | ||||
PR275 | Deduction Report | COMPANY | ||
PROCESS LEVEL | ||||
PR276 | Employee Deduction Report | COMPANY | ||
PROCESS LEVEL | ||||
DEPARTMENT | ||||
PR277 | Garnishment History Report | COMPANY | ||
PROCESS LEVEL | ||||
DEPARTMENT | ||||
PR285 | Payroll Activity Report | COMPANY | ||
ACTIVITY | ||||
ACCOUNT CATEGORY | ||||
RQ230 | Department Usage Report | COMPANY | LOCATION | ACCOUNTING UNIT |
RW100 (Style 1) | Report Generation | COMPANY | ACCOUNTING UNIT | |
RW200 (Style 2) | Account | SUB ACCOUNT | ACCOUNTING UNIT | |
RW200 | Report Listing | SUMMARY OPTION | ||
RW201 | Folder Listing | RECORD TYPE | FOLDER NAME | |
RW202 | Process Group Listing | PROCESS GROUP | ||
RW203 | User Class Listing | USER CLASS | HEAD TYPE | |
RW205 | Data Dictionary Listing | SORT OPTION | ||
RW210 | Row Listing | ROW TYPE | ||
RW215 | Row Chart Compare | ROW NAME | ||
RW220 | Format Listing | FORMAT | ||
RW220 | FORMAT NAME | |||
RW230 | Ratio Listing | FISCAL YEAR | ||
RW230 | FOLDER NAME | |||
RW240 | Group Listing | HEADER NAME | ||
RW250 | Compute Listing | PRM SEQUENCE | FOLDER NAME | COMPUTE TYPE |
RW260 | Total Range Listing | HEADER NAME | FOLDER NAME | |
RW270 | Total Name Listing | FISCAL YEAR | ||
RW270 | FOLDER NAME | |||
RW298 | Usage Report | SORT FILE TYPE | ||
RW299 | Detail Report Listing | REPORT OPTION | ||
RW590 | Data Dictionary Load | |||
SL146 | Error Trans Release, Delete | COMPANY | ||
SL160 | User Analysis Value Interface | UPDATE OPTION | ||
SL165 | Transaction Interface | COMPANY SYSTEM | ||
SL190 | Strategic Ledger Posting | LEDGER | ||
SL195 | Interface Suspended Trans | SYSTEM | ||
SL200 | User Analysis Listing | TO SEGMENT | ||
SL201 | User Analysis Group Listings | SEGMENT GROUP | ||
SL202 | Relation Listing | SEGMENT GROUP | RELATION | |
SL203 | User Analysis Class Listing | SEGMENT GROUP | ||
SL250 | Strategic Ledger Listing | LEDGER | GROUP | SEGMENT |
SL260 | User Analysis Value Interface List | SEGMENT | ||
SL265 | Transaction Interface Listing | RUN GROUP | ||
SL291 | Transaction Report | COMPANY | ||
SL300 | Strategic Ledger Trans Purge | SEGMENT GROUP |