| Value | Description | Special Handling Code | Hard Coded |
---|
1 | # | Payroll Vouchers | | N |
2 | #1 | Payroll Vouchers | | N |
3 | $ | Reserved for Clients | | N |
4 | % | Reserved for Clients | | N |
5 | & | A/R Drafts | | N |
6 | &B | Draft Register | | N |
7 | + | Bank Statement | | |
8 | +B | Bank Statements | | N |
9 | / | Tenant Vouchers | | N |
10 | 0 | Manufacturing | | |
11 | 1 | Tenant Invoice Work Batch | | |
12 | 2 | Tenant A/R Invoices | | |
13 | 2B | Tenant A/R Invoices | | N |
14 | 3 | Sales Report Entry | | |
15 | 4 | Pro-Forma P/R Pay Period Jrnls | | |
16 | 41 | Pro-Forma P/R Pay Period Jrnls | | N |
17 | 5 | Pro-Forma Daily Timecard Jrnls | | |
18 | 51 | Pro-Forma Daily Timecard Jrnls | | N |
19 | 6 | Partnership Distribution | | |
20 | 7 | Actual Payroll Period Journals | | |
21 | 8 | Production FASTR | | |
22 | 9 | Lockbox/Batch Cash Receipts | | |
23 | 9B | Automatic Receipts | | N |
24 | @ | Reserved for Clients | | N |
25 | A | Revenue - Check Entry | | N |
26 | AR | Asset Revaluation | | N |
27 | B | Revenue - Journal Entries | | N |
28 | C | JIB Cost Allocations | | N |
29 | D | Cost Allocations/Flex Budget | | N |
30 | DB | Draft Receipts | | N |
31 | E | Asset Transfer | | N |
32 | F | Balance Forward A/R Update | | N |
33 | FB | Balance Forward A/R Updates | | N |
34 | G | General Accounting | | |
35 | H | Change Orders | | |
36 | I | Invoice Entry | | |
37 | IB | Invoices | | N |
38 | J | JIB Invoices and Statements | | |
39 | K | A/P Checks (Automatic) | | |
40 | L | ALRS Checks | | |
41 | M | Manual & Void Checks w/Match | | |
42 | N | Inventory | | |
43 | NC | Frozen Cost Update | | N |
44 | O | PO/Contract Entries | | |
45 | P | Actual Timecard Journals | | |
46 | Q | Direct Payments | | |
47 | R | Cash Receipts and Adjustments | | |
48 | RB | Receipts & Adjustments | N | Y |
49 | S | Stock Transfers | | |
50 | ST | Inter Branch Sales Transfer | | |
51 | T | Equipment Time Entry | | |
52 | U | Oil & Gas Equipment Time Entry | | |
53 | UB | Utility Billing | | N |
54 | V | Voucher Entry | | |
55 | W | Manual Checks without Match | | |
56 | X | Depreciation - Journal Entries | | |
57 | XX | Detailed Currency Restatement | | N |
58 | Y | Subscription Sales | | |
59 | Z | Disposal - Journal Entries | | |