GL Transfer Inquiry

Make the following menu selections to display this grid:

eSite—Inquiry—GL Transfer Inquiry

Use GL Transfer Inquiry to view information about a specific Transfer to GL. The main page shows general information about recent transfers. Additional links on the GL Transfer Inquiry page allow you to drill-down to Batch, Detail, Account, and Policy information for a specific Transfer ID; each link opens a new page. This information is display-only.

ClosedGrid Fields

Transfer ID

The Transfer ID for a Transfer to GL.

User

The user who initiated the Transfer to GL.

Process

The process used for the Transfer to GL.

Run Date

The date the Transfer to GL was processed. This is the System Date.

Message

Any messages that appeared for the Transfer to GL.

Transfer Info (links)

For users with permissions set in the System module, this column shows links used to drill down to Batch, Detail, Account, and/or Policy information. Refer to field lists, below, for specific information on these drill-downs.

Link Fields

ClosedBatch

This grid provides batch information for the specific Transfer ID that you selected from the GL Transfer Inquiry grid.

Batch Type

The type of batch.

Bank Book ID

The bank book ID for the batch.

Batch No

The batch number for the batch.

Date Created

The date the batch was created.

Created By

The user that created the batch.

Date Approved

The date the batch was approved.

Approved By

The name of the user that approved the batch.

Approval Code

The approval code for the batch.

Max Entries

The maximum number of entries allowed in the batch.

No Entries

The number of entries in the batch.

Total Rent

The total amount of the rent in the batch.

Total Sec

A total of the security deposits included in the batch.

Total Other

A total of Other amounts in the batch.

Total Misc Income

A total of the Miscellaneous Income in the batch.

Total Non Cash

A total of the Non-cash amounts in the batch.

Batch Stamp

The batch stamp date.

Batch User Stamp

The name of the user who processed the batch.

Batch Trn Type

The batch transaction type.

Batch Created Src

The source of the batch: Internal or External.

Entry Created Time

The time that the batch was created.

Ext Jnl No

The External batch (journal) number as assigned by a third-party product, if any.

Ext Deposit Total

The deposit total for an External batch, if any.

Ext Settlement Date

The settlement date for an External batch, if any.

Restrict to Property

Is the global policy set for this batch to restrict it to a particular property: Yes or No.

Batch Rent Dep Flag

Is the flag for the default Bank Book associated with this batch set to allow Rent Deposits: Yes or No.

Batch Sec Dep Flag

Is the flag for the default Bank Book associated with this batch set to allow Security Deposits: Yes or No.

Batch Oth Dep Flag

Is the flag for the default Bank Book associated with this batch set to allow Other Deposits: Yes or No.

Batch Misc Income Flag

Is the flag for the default Bank Book associated with this batch set to allow Miscellaneous Deposits: Yes or No.

Batch Wait List Flag

Is the flag for this batch set to place all transactions relating to a waiting list transfer in a special Wait List Batch: Yes or No.

ClosedDetail

This grid provides Detail information for the specific Transfer ID that you selected from the GL Transfer Inquiry grid.

Seq No

The line number for a detail line.

Property

The property identification code that appears on reports and lists.

Building

The building ID that appears on reports and lists.

Unit

The Unit Short name from Global Policies—Names.

Res/Tenant

The Resident/Tenant Short name from Global Policies—Names.

Bank Book ID

The bank book ID.

Batch No

The batch number.

Batch Type

The batch type.

Inc Code

The income code, for example NSF.

Trans Type

The transaction type.

GL Period

The general ledger period in the format YYYYMM.

Suspense Acct

The Suspense Account number.

Credit Entity

The Entity ID for the credit account.

Credit Acct

The Credit Account number associated with the income code.

Debit Entity

The Entity ID for the debit account.

Debit Acct

The debit account number associated with the Income Code.

DOR

The Date of Record for the transfer.

Trans Amt

The amount of the transaction.

Posted Amt

The amount posted for the transaction

Applied to Prepay

The amount that was applied to Prepaids.

Prepaid Trans

Indicates if an amount was applied to Prepaids: Yes or No.

ClosedAccount

This grid provides Account information for the specific Transfer ID that you selected from the GL Transfer Inquiry grid.

Property

The property identification code that appears on reports and lists.

Code

The Income Code for the transfer.

Class

The class for the account: Credit, Debit, Refund, Write-off

Entity

The Entity associated with the account.

Acct Method

The Accounting Method used for the account.

GL Acct No

The General Ledger account number for the account.

Profit Center Flag

Indicates the if a Profit Center was used for the selected income code: Yes or No.

Profit Center

The Profit Center that is affected for the account.

Transfer to GL

Indicates the transfer method:  Summary or Detail.

ClosedPolicy

This grid provides Property Policy setting information for the specific Transfer ID that you selected from the GL Transfer Inquiry grid.

Property

The property identification code that appears on reports and lists.

Code

The code that identifies the property policy.

Category

The category that the property policy belongs to.

Description

The description of the property policy.

Value

The setting for the policy.

NoteNote

Refer to the Property Policy Groups - Settings page for more information on Category, Description and Value. For example:

Property: 01104
Code
: P13.5
Category
: Calculations
Description
: Method to calculate Loss To Lease
Value
: Gross Potential

 

ClosedEffect of Permissions

Access to the GL Transfer Inquiry menu item and the ability to drill-down on Batch, Detail, Account, and Policy information is controlled by permissions set up in the System module (Security—Users—eSite—Inquiry—GL Transfer Inquiry).

The top level permission provides access to the menu item and to view the grid but not to view the transfer information drill-down links. The ability to view and access the drill-down links is provided by separate permissions for Batch, Detail, Account and Policy.

See Also

Inquiry Introduction

 

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