PCPCREPAY is the process that automatically manages payments via the FMT940 file from the bank (linked to the German localization).
Entry point INIPYD is found after the assignment of [PYD]NUM, [PYD]LIN, [PYD]DENCOD, and before the assignment of the remaining fields in the payment line (table PAYMENTD [PYD])
There is one transaction in progress. The transaction corresponds to the creation of a payment.
A log file may be open. In this case, GTRACE<>empty.
PAYCREPRO [PCP] mask for creation proposition of payments.
Table | Significant content | Table Title |
TABCUR [TCU] | No | Currencies |
ATABDIV [ADI] | No | Miscellaneous tables |
GRPSAC [GSC] | No | Collective account groups |
GRPCUR [GCU] | No | Currency groups |
BID [BID] | No | Bank ID no |
COMPANY [CPY] | Yes | Companies |
GACCOUNT [GAC] | No | Accounts |
GACCCODE [ACC] | No | Accounting codes |
SOI [SOI] | No | Due date statements |
BANK [BAN] | No | Banks |
POOL [POO] | No | Bank pools |
GACCDUDATE [DUD] | No | Open items |
TABCOUAFF [TCA] | No | Assignment of sequence number counters |
GACCENCOD [CDA] | No | Payment attributes |
TABPAYTYP [TPY] | Yes | Payment types |
PAYMENTH [PYH] | Yes | Payments – headers |
PAYMENTD [PYD] | No | Payments – lines |
PAYMENTA [PYA] | No | Payments – analytical lines |
GACCENTRY [HAE] | No | Journal postings |
BPARTNER [BPR] | No | BP |
BPCUSTOMER [BPC] | No | Customers |
BPSUPPLIER [BPS] | No | Suppliers |
RELMT940 [RLT2] | No | FMT940 file (header) |
RELMT940D [RLD2], [RLD3] | No | FMT940 file (Lines) |