arPaymentData

11/20/2020 12:35:00 PM

Line Field Name Data Type Description
1 str:arPaymentData Table Accounts receivable payment details by customer payment received by customer.
2 term:approvedBy Term (Text/String) User ID (from User_Listing file) for person who approved the entry.
3 term:approvedDateTime Term (Date) The DateTime the entry was approved.
4 term:batchId Term (Text/String) Systems generated ID for batch
5 term:businessUnitCode Term (Text/String) Used to identify the business unit, region, branch, and so on at the level that financial statements are being audited and for which the trial balance is generated. For example, you may use a code aligned with the concept of a reportable segment as defined in FASB Accounting Standards Codification (ASC) 280, Segment Reporting.
6 term:description Term (Text/String) Description of the payment.
7 term:glCreditAccountNumber Term (Text/String) GL account number on which the credit side of the transaction has been posted.
8 term:glDebitAccountNumber Term (Text/String) GL account number on which the debit side of the transaction has been posted.
9 term:lastModifiedBy Term (Text/String) User_ID (from User_Listing file) for the last person modifying this entry.
10 term:lastModifiedDateTime Term (Date) The date and time the entry was last modified before posting.
11 term:lineAccountId Term (Text/String) General Ledger Account code of the GL-revenue-account. Can be including sub-account id. It can contain many different levels to identify the Account. It could include cost centres such as company, division, region, group and branch/department.
12 term:lineAnalysisAmountCurrencyAmount Term (Decimal) Transaction monetary amount in local currency.
13 term:lineAnalysisAnalysisAmount Term (Decimal) The functional or group currency related to the receipt amount. See ISO 4217 coding.
14 term:lineAnalysisAnalysisAmountCurrencyCode Term (Text/String) Transaction monetary amount recorded in the reporting currency.
15 term:lineAnalysisAnalysisAmountExchangeRate Term (Decimal) The exchange rate used. CurrencyAmount x ExchangeRate = Amount
16 term:lineAnalysisAnalysisAmountLocalCurrency Term (Decimal) The currency for local reporting requirements. See ISO 4217 coding.
17 term:lineAnalysisAnalysisId Term (Text/String) Analysis ID: e.g. 1200-HDOF-TR (for cost center treasury in the headoffice), P-4800-123 (for project 123 in branch 4800)
18 term:lineAnalysisAnalysisIdDescription Term (Text/String) Description of the AnalysisID: e.g. Headoffice-Treasury.
19 term:lineAnalysisAnalysisType Term (Text/String) Analysis type identifier: e.g. CC (for Cost Center), DEP (for department), etc
20 term:lineAnlaysisTypeDescription Term (Text/String) Description of the AnalysisType, e.g. Cost Center
21 term:lineApprovedBy Term (Text/String) User ID (from User_Listing file) for person who approved the entry.
22 term:lineApprovedDateTime Term (Date) The date and time the entry was approved.
23 term:lineBusinessUnitCode Term (Text/String) Used to identify the business unit, region, branch, and so on at the level that financial statements are being audited. Must match the Business_Unit_Code in the Business_Unit_Listing file.
24 term:lineCustomerId Term (Text/String) Unique code for the customer
25 term:lineDebitCreditIndicator Term (Text/String) Indicates whether the amounts on line-level are debit or credit amounts. Entry must correspond to entry reflected in General Ledger Entry. Signing of line amounts is relative to this indicator. E.g. a return can lead to a negative amount
26 term:lineDescription Term (Text/String) Description of Invoice Line.
27 term:lineLastModifiedBy Term (Text/String) User_ID (from User_Listing file) for the last person modifying this entry.
28 term:lineLastModifiedDateTime Term (Date) The date and time the entry was last modified.
29 term:lineLineNumber Term (Text/String) Line item number of the invoice.
30 term:linePaymentAmountLocalCurrencyCode Term (Text/String) The currency for local reporting requirements. See ISO 4217 coding.
31 term:linePaymentAmountReporting Term (Decimal) Transaction monetary amount recorded in the reporting currency.
32 term:linePaymentAmountReportingCurrency Term (Decimal) The reporting currency related to the payment amount for nonconsolidated reporting. See ISO 4217 coding.
33 term:linePaymentLineAmount Term (Decimal) Transaction monetary amount recorded in the functional or group currency. No multicurrency translation should need to be performed on this amount because all transactions should be recorded in a single currency.
34 term:linePaymentLineAmountCurrencyAmount Term (Decimal) Transaction monetary amount in local currency.
35 term:linePaymentLineAmountCurrencyCode Term (Text/String) Three-letter currency code according to ISO 4217 standard. Example: EUR for the Euros or USD for American Dollars.
36 term:linePaymentLineAmountExchangeRate Term (Decimal) The exchange rate used. CurrencyAmount x ExchangeRate = Amount
37 term:lineSettlementCurrencyAmount Term (Decimal) Amount in foreign currency
38 term:lineSettlementCurrencyCode Term (Text/String) Three-letter currency code according to ISO 4217 standard. Example: EUR for the Euros or USD for American Dollars.
39 term:lineSettlementPaymentMechanism Term (Text/String) Payment mechanism
40 term:lineSettlementSettlementAmount Term (Decimal) In the headers default currency.
41 term:lineSettlementSettlementAmountExchangeRate Term (Decimal) The exchange rate used. CurrencyAmount x ExchangeRate = Amount
42 term:lineSettlementSettlementDate Term (Date) Date settled
43 term:lineSettlementSettlementDiscount Term (Decimal) Description Settlement / Other Discount
44 term:lineSourceDocumentId Term (Text/String) The source document to which the line relates
45 term:lineSupplierId Term (Text/String) Identifier of the supplier to whom payment is due or from whom unused credits have been applied. Must match the Supplier_Account_ID in the Supplier_Listing_YYYYMMDD file.
46 term:lineSystemEntryDateTime Term (Date) The date the transaction was entered into the system. This is sometimes referred to as the creation date. This should be a system-generated date (rather than user-entered date), when possible. This date does not necessarily correspond with the date of the transaction itself.
47 term:lineSystemEntryUser Term (Text/String) User_ID (from User_Listing file) for person who created the record.
48 term:lineTaxInformationTaxAmount Term (Decimal) In the headers default currency.
49 term:lineTaxInformationTaxAmountCurrencyAmount Term (Decimal) Amount in foreign currency
50 term:lineTaxInformationTaxAmountCurrencyCode Term (Text/String) Three-letter currency code according to ISO 4217 standard. Example: EUR for the Euros or USD for American Dollars.
51 term:lineTaxInformationTaxAmountExchangeRate Term (Decimal) The exchange rate used. CurrencyAmount x ExchangeRate = Amount
52 term:lineTaxInformationTaxBase Term (Text/String) The base on which the tax is calculated. This can be an amount, or a quantity, eg. Litres.
53 term:lineTaxInformationTaxBaseDescription Term (Text/String) Description of the value in the TaxBase. Eg. Litres for excises on alcoholic bevarages.
54 term:lineTaxInformationTaxCode Term (Text/String) Tax Code for lookup in tables
55 term:lineTaxInformationTaxDeclarationPeriod Term (Text/String) The identification of the declaration/return in which the taxamount is reported to the Revenue body
56 term:lineTaxInformationTaxExemptionReason Term (Text/String) Tax exemption or reduction reason or rationale
57 term:lineTaxInformationTaxPercentage Term (Decimal) Tax percentage.
58 term:lineTaxInformationTaxType Term (Text/String) Tax type for look-up in tables
59 term:lineTaxPointDate Term (Date) Tax Point date where recorded or if not recorded then the Invoice date
60 term:paymentId Term (Text/String) Unique identifier for each payment received. This ID may need to be created by concatenating fields (for example, customer and payment number) to uniquely identify each transaction.
61 term:paymentMethod Term (Text/String) The code value or indicator of the method by which the transaction debit or credit amount was extinguished or apportioned to the debt by the supplier (for example, check, wire transfer, cash, and so on). Must match the Payment_Type in the Payment_Type_Listing_YYYYMMDD file.
62 term:paymentRefDate Term (Date) Date on an externally generated transaction (for example, check date or wire transfer date).
63 term:paymentRefNo Term (Text/String) Unique identifier for each payment made. This ID may need to be created by concatenating fields (for example, supplier and payment number) to uniquely identify each transaction.
64 term:period Term (Text/String) Fiscal period in which the Effective_Date occurs.Examples include W1‚W53 for weekly periods, M1‚M12 for monthly periods, and Q1‚Q4 for quarterly periods.
65 term:periodYear Term (Text/String) Fiscal year in which the Purchase_Order_Date occurred YYYY fordelimited, CCYY-MM-DD fiscal year end(ISO 8601) for extensible business reporting language global ledger taxonomy framework (XBRL GL).
66 term:postingStatus Term (Text/String) Status of the transactions posting to the GL (for example, Posted, Not Posted).
67 term:receiptAmountReporting Term (Decimal) Transaction monetary amount recorded in the reporting currency.
68 term:receiptAmountReportingCurrency Term (Decimal) The reporting currency related to the receipt amount for nonconsolidated reporting. See ISO 4217 coding.
69 term:receiptId Term (Text/String) Unique identifier for each payment received. This ID may need to be created by concatenating fields (for example, customer and payment number) to uniquely identify each transaction.
70 term:referenceDate Term (Date) Date on an externally generated transaction (for example, check date or wire transfer date).
71 term:referenceNumber Term (Text/String) Identification number for an internally or externally generated transaction (for example, check number, wire transfer number, or original document ID).
72 term:segment01 Term (Text/String) Reserved segment field that can be used for profit center, division, fund, program, branch, project, and so on.
73 term:segment02 Term (Text/String) Reserved segment field that can be used for profit center, division, fund, program, branch, project, and so on.
74 term:segment03 Term (Text/String) Reserved segment field that can be used for profit center, division, fund, program, branch, project, and so on.
75 term:segment04 Term (Text/String) Reserved segment field that can be used for profit center, division, fund, program, branch, project, and so on.
76 term:segment05 Term (Text/String) Reserved segment field that can be used for profit center, division, fund, program, branch, project, and so on.
77 term:sourceId Term (Text/String) Posting source (code for source from which the journal entry originated, such as sales journal, cash receipts journal, general journal, payroll journal, accountant manual entry, spreadsheet, and so on).
78 term:systemEntryDateTime Term (Date) The date the transaction was entered into the system. This is sometimes referred to as the creation date. This should be a system-generated date (rather than user-entered date), when possible. This date does not necessarily correspond with the date of the transaction itself.
79 term:systemEntryUser Term (Text/String) User_ID (from User_Listing file) for person who created the record.
80 term:systemId Term (Text/String) Unique number created by the system for the document
81 term:transactionDate Term (Date) The date the payment was made or credit was applied.
82 term:transactionId Term (Text/String) Cross-reference to GL posting. It can contain many different levels to identify the transaction. It could include cost centres such as company, division, region, group and branch/department