Batch Fixed Entry

This routine allows lot generation of fixed transactions based in a previous registration.

 

It is possible to register a model on this transaction to generate various fixed transactions on this transaction (one for each registered case) in lot for a specific month.

Important:

On Fixed Batch Transaction the user can choose between a standard inquiry on data referring to the Reverence Contract and Case Code.

Use the MV_JLIMTAB parameter to define the shortest day to generate lots.

 

The screen Fixed Batch Transaction has the following fields:

Customer/Store;
Reference Contract (the system uses all customer cases on contract);
Adjusted Amount;
Transaction Description;
Participant field (the same field must be created on the table fixed transaction);
Case Code;
Start Year-Month;
End Year-Month (if not entered indicates no end date);
Billing periodicity (months);
Day Generation (if not entered the day chosen on batch generation will be used);
User;
Date and time (last change);
Base date;
Base Value;
Correction Type;
Correction Index;
Correction periodicity (months);
Code of service type;
Currency Code;