Use this format to create the file used to import data into the AMSI DOS G/L system.
| Field | Position | Length | Value | 
| PropertyId | 1-5 | 5 | Entity ID* | 
| Deposit/Credit/Journal Entry | 6-7 | 2 | DP (Deposit), CR (Cash Receipt) or JE (Journal Entry) | 
| Transaction date | 8-13 | 6 | Date of record* as YYMMDD | 
| RefCheckNo | 14-19 | 6 | Check or reference number* | 
| GlDesc | 20-49 | 30 | Description/income code* | 
| GlAcctNo | 50-59 | 10 | GL Account Number (AMSI format)* | 
| AmtToGl | 60-71 | 12 | Amount of Transaction | 
| Reference | 72-86 | 15 | GL Transaction Reference* | 
| AR Period* | 87-90 | 4 | YYMM | 
| GL Period* | 91-94 | 4 | YYMM | 
| Reversal Flag | 95 | 1 | R or blank | 
Example:
01MEAJE050701AUTO07Lease Charge-Rent:02-201 4017000 -1020.00RPM08 05070507
01MEAJE050701AUTO07Lease Charge-Rent:02-201 1200000 1020.00RPM08 05070507
01MEACR050701AUTO07Cash Receipts-Rent:02-201 1200000 -1020.00RPM0Meadow7 05070507
01MEADP050701AUTO07Cash Receipts-Rent 1010 1020.00RPM0Meadow7 05070507
See Also
AME, Interface Tab
Transfer to GL File Layouts Overview
Transaction Descriptions for Transfer to GL Files
Online Payments Interface for Transfer to G/L
Transfer to G/L for Online Payments
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