Assigning transaction sequence numbers to transaction types
Once you have defined a transaction sequence code using Ledger Sequences (LEQ), you can assign the number series to the type of ledger transactions you want to be sequenced. There are two ways of doing this, depending on the type of transaction.
For user generated journals, you assign the sequence number code to a type of journal using Journal Types (JNT).
For system generated journals, you assign the sequence number code to the relevant System Codes field on the Sequence Dimensions tab in Ledger Setup (LES) for these functions:
- Payment Run
- Payment Collection Run
- Transaction Matching
- Payment Voiding
- Ledger Revaluation
- Post Withheld Taxes
- Depreciation Calculation
- Asset Disposal
If you are required to produce an ESL for European tax reporting, or a 1099 for US tax requirements, you can also use these transaction sequence number codes to identify the various types of transaction.
Assigning sequence numbers to provisional postings
If provisional postings are optional or mandatory, then transaction sequence numbers can be applied either when transactions are posted as provisional postings, or when they are posted as permanent postings. This is determined by the Hard Posting Only option in Ledger Setup (LES).