Account
|
ChartField that identifies the nature of a transaction for corporate accounts.
|
Activity ID
|
ChartField value that represents the activity ID for an individual task or event in a project in Project Costing that is associated
with the item. This field is available only if you have Project Costing.
|
Accounting Date
|
Date for accounting entries for an activity.
|
Affiliate
|
ChartField used to map transactions between business units when using a single interunit account.
|
(NLD) AG Number (acceptgiro reference number)
|
Acceptgiro reference number assigned to the item or invoice when you ran the Statements process (AR_STMTS) or the AR Dunning
process (AR_DUNNING) for business units enabled for acceptgiro processing. When you print an invoice in Billing, the system
also assigns an acceptgiro reference number to the invoice.
Note. Each time that you run the Statements process or the AR Dunning process, the system overwrites the reference number if the
item is included on a new statement or dunning letter. So, it is possible that the bank could pay for the item using a different
reference number.
|
Alt Acct (alternate account)
|
ChartField that identifies the nature of a transaction for statutory accounts. This field appears only if you enable the Alternate
Account option for your organization and for the general ledger business unit.
|
Analyst or Credit Analyst
|
Individual who is assigned to an item or customer to manage credit.
|
AR Dist (receivables distribution code)
|
Distribution code that defines the receivables account for a transaction's distribution lines.
|
AR Specialist (receivables specialist)
|
Individual who is assigned to manage deduction and disputed items.
|
Balance
|
Amount of an item that is still open (unpaid).
|
Bill of Lading
|
Bill of lading number for a shipment.
|
Broker ID
|
Identifier code for the individual who negotiates a promotion deal. A broker is a customer to whom you assign the broker role.
|
Budget Ref (budget reference)
|
ChartField that identifies unique control budgets when individual budgets share budget keys and overlapping budget periods.
|
Business Unit
|
An identification code that represents a high-level organization of business information. You can use a business unit to define
regional or departmental units within a larger organization.
|
Carrier ID
|
Unique identifier for the shipping carrier.
|
Category
|
ChartField value that represents the category for a project transaction in Project Costing. A category further defines a source
type. For example, if you have a source type of labor, you might have categories for architect labor, carpenter labor, and
plumber labor. This field is available only if you have Project Costing.
|
Chartfield 1 to Chartfield 3
|
ChartFields that you configure to meet your organization's requirements.
|
Claim Number
|
Debit memo number that the customer sent you for a deduction.
|
Class
|
ChartField that identifies a particular appropriation when you combine it with a Fund, DeptID, Program Code, and Budget Reference
ChartFields.
Group of customers in a trade, such as grocers or mass merchandisers.
|
Collection Code
|
Code to identify a collection agency or reason.
|
Collector
|
Individual assigned to a customer or item to manage collections.
|
Contract Number
|
Contract number that is associated with an invoice. For deduction items, it is the contract number that is associated with
the original invoice.
|
Currency
|
Code that identifies the type of currency for an amount, such as USD or EUR.
|
Customer
|
Customer ID and name for an item or payment.
|
Days Late
|
Displays the difference between the due date and the current date, not including grace days.
|
Deduction Reason
|
Code that identifies the reason that a customer took a deduction.
|
Dept (department)
|
ChartField that indicates who is responsible for or affected by the transaction.
|
Description
|
Freeflow text up to 256 characters.
|
Dispute Reason
|
Code that identifies the reason that an item is in dispute.
|
Division
|
Geographic area within an organization.
|
Document Sequence or Document Sequencing
|
Click to open a page where you can enter document sequencing information. This option is available only if you enable the
document sequencing feature for the General Ledger business unit.
|
Effective Date
|
Date on which a table row becomes effective; the date that an action begins. For example, if you want to close out a ledger
on June 30, the effective date for the ledger closing would be July 1. This date also determines when you can view and change
the information. Pages and batch processes that use the information use the current row.
See Enterprise PeopleTools PeopleBook: Using PeopleSoft Applications.
|
Entry Event
|
Code that identifies the entry event definition that is used to create supplemental accounting entries for the transaction.
You define these codes on the Entry Event Code Def'n page.
|
Entry Reason
|
The reason that is associated with an item that defines which accounting entries to generate and can be used for reporting
purposes.
|
Entry Type
|
ID that identifies the type of activity, such as invoice or pay an item.
|
Exchange Rate
|
Rate that is used for currency conversion.
|
Family
|
Identifier that defines inventory items at a high level. Examples include computer items and office furniture.
|
Fund
|
ChartField that represents structural units for education and government accounting. Can also represent a divisional breakdown
in your organization.
|
Fund Affiliate
|
ChartField that is used to correlate transactions between funds when using a singe intraunit account.
|
Group ID
|
ID that is used to identify a group of items. The system assigns the ID when you generate the group.
|
Group Type
|
ID that identifies the transaction type for a group of items, such as a payment group or a billing group.
|
Invoice
|
Original invoice that is associated with the item in the billing system.
|
Item ID
|
Unique ID to identify an item.
|
Item Status
|
Current status for an item. Valid values are:
Closed: The item is paid in full.
Open: The item has a balance due.
|
Language or Language Code
|
The language in which you want the field labels and report headings of the reports to print. The field values appear as you
enter them.
Language also refers to the language that is spoken by a customer or user.
|
Letter of Credit ID
|
Identifier for a letter of credit that is associated with an item.
|
Line
|
Line number of a separate item that is associated with a single invoice in the billing system. It also may be an item that
was split from a deduction or disputed item in Receivables.
|
Merchandising Type
|
A type of activity for a promotion that is funded from discretionary funds. You must specify the merchandising type for a
promotion to update the fund in Promotion Management.
|
Oper Unit (operating unit)
|
ChartField that is used to identify a location, such as a distribution warehouse or sales center.
|
Operating Unit Affiliate
|
ChartField that is used to correlate transactions between operating units when using a singe intraunit account.
|
Order Number
|
Order number that is associated with the original invoice in the billing system.
|
Payment ID
|
Identifier for the payment. If the payment ID is on an item page, it is the ID of the payment that paid for the item.
|
Payment Method
|
The default payment method for items. Options are: Cash, Credit Card, Electronic Funds Transfer, Check, Direct Debit,Draft, and Giro - EFT.
|
PC Bus Unit (Project Costing business unit)
|
Code that is used to identify the Project Costing business unit for a project that is associated with an item. This field
is available only if you have Project Costing.
|
PO (purchase order number)
|
Purchase order number that is associated with the original invoice in the billing system.
|
Process Frequency or When
|
Designates the appropriate frequency in the Process Frequency group box:
Once: Executes the request the next time that the batch process runs. After the batch process runs, the process frequency is automatically
set to Don't Run.
Always: Executes the request every time that the batch process runs.
Don't Run: Ignores the request when the batch process runs.
See Enterprise PeopleTools PeopleBook: PeopleSoft Process Scheduler.
|
Process Monitor
|
This link takes you to the Process List page, where you can view the status of submitted process requests.
See Enterprise PeopleTools PeopleBook: PeopleSoft Process Scheduler.
|
Product
|
ChartField that captures additional information that is useful for profitability and cash flow analysis by product sold or
manufactured.
|
Program
|
ChartField that identifies groups of related activities, cost centers, revenue centers, responsibility centers, and academic
programs. Tracks revenue and expenditures for programs.
|
Project
|
ChartField that captures information for project or grants accounting.
|
Promotion Code
|
Identifier that you assign to the promotion deal in your promotion application.
|
Rate Type
|
Rate type that is used to convert item or payment amounts.
|
Region Code
|
Sales region that the item belongs to.
|
Report ID
|
The report identifier.
|
Report Manager
|
This link takes you to the Report List page, where you can view report content, check the status of a report, and see content
detail messages (which show you a description of the report and the distribution list).
|
Revalue Flg (revaluation flag)
|
Indicates whether the Revaluation Application Engine process (AR04000) revalues the item. Clear the check box if you do not
want to revalue the item.
|
Run Control ID
|
A request identification that represents a set of selection criteria for a report or process.
|
Run
|
This button takes you to the Process Scheduler request page, where you can specify the location where a process or job runs
and the process output format.
See Enterprise PeopleTools PeopleBook: PeopleSoft Process Scheduler.
|
Sales Person 1
|
Primary salesperson who is associated with the item.
|
Sales Person 2
|
Secondary salesperson who is associated with the item.
|
SetID
|
An identification code that represents a set of control table information or tableSets. A tableSet is a group of tables (records)
that are necessary to define your company’s structure and processing options.
|
Short Description
|
Freeflow text up to 15 characters.
|
Source Type
|
ChartField value that represents the source type for a project transaction in Project Costing. A source type identifies the
purpose of the transaction, for example labor. This field is available only if you have Project Costing.
|
Statistics Code
|
ChartField that identifies nonmonetary statistical amounts.
|
Status
|
Indicates if a row in a table is active or inactive. You cannot display inactive rows or pages or use them for running batch
processes. Use to inactive rather than delete data that you no longer use to maintain an audit trail.
|
Subcategory
|
ChartField value that represents the subcategory for a project transaction in Project Costing. A subcategory further defines
a category. For example, if you have a category of carpenter labor, subcategories might be standard hours and overtime hours.
This field is available only if you have Project Costing.
|
Terms
|
Payment terms that define the due date and discount days and amount for an item.
|
Trade
|
Type of industry market, such as groceries or hardware.
|
Unit
|
Business unit for an item or transaction.
|
User Amount 1 through User Amount 8
|
User-defined amount fields.
|
User Date 1 through User Date 4
|
User-defined date fields.
|
User ID
|
The system identifier for the individual who generates a transaction.
|
User Text 1 through User Text 10
|
User-defined text fields.
|

|
Click the Conversations Exist button for an item to review conversation entries that are associated with the item.
|