Module List > Module CM tables CM20100
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COMPANY..CM20100 Table Definition

(COMPANY..CM Journal)

This table contains a record for each posting of every transaction and receipt in Bank Reconciliation. A record, which is used to create posting journals, is created when a transaction is either posted or voided.


4Penny.net

Field Definitions:

What is the 'source' column?

 Column NameData Type
Default Value
 Source
CMDNUMWK numeric(19,5)
0.00
Link Recor...(more) Join Now
RecNumControl numeric(19,5)
0.00
Record Num...(more) Join Now
VOIDED tinyint
0
Voided Tru...(more) Join Now
CNTRLTYP smallint
0
Control Ty...(more) Join Now
AUDITTRAIL char(13)
''
Audit Trai...(more) Join Now
CHEKBKID char(15)
''
Checkbook ...(more) Join Now
join ... more text available
CMTrxType smallint
0
p>CMTrxTyp...(more) Join Now
CMTrxNum char(21)
''
CMTrxNumbe...(more) Join Now
CMERRMSG binary(4)
0
CM Error M...(more) Join Now
DEX_ROW_ID int
auto number (1,1)
Unique ide...(more) Join Now
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