project QadFinancials > class BDInvoice > business logic query DInvoiceByBankPaymentInfo


Parameters


iiCompanyIdintegerCompany id
icDInvoiceTypecharacter
ilDInvoiceIsOpenlogical
ilDInvoiceIsSelectedlogical
icBusinessRelationCodecharacter
ilBusinessRelationIsIntercological
icAddressTypeCodecharacter
icCountryCodecharacter
icPaymentGroupCodecharacter
icCurrencyCodecharacter
icDivisionCodecharacter
iiBankPayFormatIdinteger
ilDInvoiceIsWithBanklogical
icCorporateGroupCodecharacterCorporate Group Code


query condition


  each DInvoice where
DInvoice.Company_Id = iiCompanyId AND
DInvoice.DInvoiceIsOpen = ilDInvoiceIsOpen AND
DInvoice.DInvoiceIsSelected = ilDInvoiceIsSelected AND
DInvoice.DInvoiceType can-do icDInvoiceType AND
DInvoice.DInvoiceIsWithBank = ilDInvoiceIsWithBank

      first Company (inner-join) where
Company.Company_Id = iiCompanyId AND
Company.Company_ID = DInvoice.Company_ID AND

      first Currency (inner-join) where
Currency.Currency_ID = DInvoice.DInvoiceCurrency_ID AND
Currency.CurrencyCode = icCurrencyCode

      first Debtor (inner-join) where
Debtor.SharedSet_Id = vi_DEBTOR_sharedset(iiCompanyId) AND
Debtor.Debtor_ID = DInvoice.Debtor_ID AND

          first BusinessRelation (inner-join) where
BusinessRelation.BusinessRelation_ID = Debtor.BusinessRelation_ID AND
BusinessRelation.BusinessRelationCode = icBusinessRelationCode AND
BusinessRelation.BusinessRelationIsInterco = ilBusinessRelationIsInterco

              each Address (inner-join) where
Address.BusinessRelation_ID = BusinessRelation.BusinessRelation_ID AND

                  first AddressType (inner-join) where
AddressType.AddressType_ID = Address.AddressType_ID AND
AddressType.AddressTypeCode = icAddressTypeCode

                  first Country (inner-join) where
Country.Country_ID = Address.Country_ID AND
Country.CountryCode = icCountryCode

              first CorporateGroup (conditional-join) where
CorporateGroup.CorporateGroup_ID = BusinessRelation.CorporateGroup_ID AND
CorporateGroup.CorporateGroupCode = icCorporateGroupCode

          first PaymentGroup (conditional-join) where
PaymentGroup.PaymentGroup_ID = Debtor.PaymentGroup_ID AND
PaymentGroup.PaymentGroupCode = icPaymentGroupCode

      each DInvoiceBank (conditional-join) where
DInvoiceBank.DInvoice_ID = DInvoice.DInvoice_ID AND

          first BankNumber (conditional-join) where
BankNumber.BankNumber_ID = DInvoiceBank.BankNumber_ID AND
BankNumber.BankPayFormat_ID = iiBankPayFormatId

      first Division (conditional-join) where
Division.SharedSet_Id = vi_DIVISION_sharedset(iiCompanyId) AND
Division.Division_ID = DInvoice.Division_ID AND
Division.DivisionCode = icDivisionCode

      first Journal (inner-join) where
Journal.SharedSet_Id = vi_JOURNAL_sharedset(iiCompanyId) AND
Journal.Journal_ID = DInvoice.Journal_ID AND

      first PaymentCondition (inner-join) where
PaymentCondition.PaymentCondition_ID = DInvoice.NormalPaymentCondition_ID AND

      first Period (inner-join) where
Period.Company_Id = iiCompanyId AND
Period.Period_ID = DInvoice.Period_ID AND


query resultset tqDInvoiceByBankPaymentInfo


field namedata typedb fielddescription
tcAddressTypeCodecharacterAddressType.AddressTypeCodeAddress Type
tcBankNumbercharacterBankNumber.BankNumberBank Number
tiBankNumber_IDintegerDInvoiceBank.BankNumber_IDFormatted Bank Account No
tcBankNumberFormattedcharacterBankNumber.BankNumberFormattedFormatted Bank Account No
tiBankPayFormat_IDintegerBankNumber.BankPayFormat_IDLink to BankPayFormat
tcBusinessRelationCodecharacterBusinessRelation.BusinessRelationCodeBusiness Relation. A code to identify the business relation.
If this field does not have a input from the user, the system automatically generates a number for the record based on the sequence defined in Business Relation Autonumber Create.
tlBusinessRelationIsIntercologicalBusinessRelation.BusinessRelationIsIntercoIntercompany. This field Indicates if the business relation identifies an entity that is a member of a group of entities that trade with each other.
If the business relation is identified as an internal entity,this field is true and cannot be changed.
api annotation:PartialUpdate = yes - defaults to false.
tcBusinessRelationName1characterBusinessRelation.BusinessRelationName1Name: The full name of the business relation.
This field sets the default name for linked addresses such as customers and suppliers.
api annotation:PartialUpdate = yes - defaults to the BusinessRelationCode.
tiCompany_IDintegerDInvoice.Company_IDLink to Company
tcCompanyCodecharacterCompany.CompanyCodeEntity Code
tcCorporateGroupCodecharacterCorporateGroup.CorporateGroupCodeGroup Name
tcCountryCodecharacterCountry.CountryCodeCountry Code
tcCurrencyCodecharacterCurrency.CurrencyCodeCurrency Code
tcDebtorCodecharacterDebtor.DebtorCodeA code (maximum eight characters) that identifies a customer. If the code you specify matches an existing supplier code, a warning message displays. You can choose to ignore the warning, and create the record. However, when a supplier and customer share the same code, they must reference the same business relation.
api annotation:If you leave the Customer Code field blank, the system automatically generates a number for the record based on the sequence defined in Customer Autonumber Create.
tiDInvoice_IDintegerDInvoice.DInvoice_IDRecord ID
tdDInvoiceBalanceCreditTCdecimalDInvoice.DInvoiceBalanceCreditTCTC Balance Amount CR. This field displays the sum of the credit amounts of all posting lines in transaction currency.
tdDInvoiceBalanceDebitTCdecimalDInvoice.DInvoiceBalanceDebitTCTC Balance Amount DR. This field displays the sum of the debit amounts of all posting lines in transaction currency.
tiDInvoiceBank_IDintegerDInvoiceBank.DInvoiceBank_IDRecord ID
tdDInvoiceBankToPayTCdecimalDInvoiceBank.DInvoiceBankToPayTCTC Payment Amount. This field displays the payment amount in the transaction currency.
ttDInvoiceDatedateDInvoice.DInvoiceDateInvoice Date. This field indicates the invoice creation date.This field is normallly prior to the posting date and within the same accounting period as the posting date. The date must be within the upper and lower date limits of an open GL period.
The system uses the invoice date with the credit terms to calculate due date and discount date.
api annotation:This field defaults to the DInvoicePostingDate.
tcDInvoiceDescriptioncharacterDInvoice.DInvoiceDescriptionDescription. A brief description of the invoice. This field is mandatory.
ttDInvoiceDiscountDueDatedateDInvoice.DInvoiceDiscountDueDateDiscount Due Date. This field displays the last date a discount applies, calculated by the system based on the credit terms and the invoice date.
You can modify the due date without affecting the credit terms.
If the credit terms have a base date specified, this is used in the due date calculations rather than the invoice creation date.
tcDInvoiceDITextcharacterDInvoice.DInvoiceDITextCIDescription. A brief description for the SI posting.
api annotation:This field defaults from the DInvoiceDescription.
ttDInvoiceDueDatedateDInvoice.DInvoiceDueDateDue Date. This field displays the date when payment is due, calculated by the system based on the credit terms and the invoice date. User can modify the due date without affecting the credit terms.
If the credit terms have a base date specified, this is used in the due date calculations rather than the invoice creation date.
tdDInvoiceExchangeRatedecimalDInvoice.DInvoiceExchangeRateExchange Rate. The accounting exchange rate used by the invoice.
The BC Invoice Amount is calculated based on the exchange rate.
If user modify the TC Invoice Amount, the BC invoice amount is automatically adjusted.
tcDInvoiceGoldenTaxInvoiceListcharacterDInvoice.DInvoiceGoldenTaxInvoiceListGolden Tax Invoices
tlDInvoiceIsDiscTaxAtPaymlogicalDInvoice.DInvoiceIsDiscTaxAtPaymDiscount Tax at Payment. This field indicates if the invoice has a discount for tax at the time of payment.
The discount amount at the time of payment only applies to the tax base amount.
api annotation:PartialUpdate = yes - defaults to false
tlDInvoiceIsOpenlogicalDInvoice.DInvoiceIsOpenOpen.This field indicates if the invoice has been completely paid.
This field is updated automatically when complete payment is confirmed.
This field is read-only.
api annotation:PartialUpdate = yes - defaults to true
tlDInvoiceIsPaymentAllowedlogicalDInvoice.DInvoiceIsPaymentAllowedCN Payment Allowed. This field applies to only credit notes;otherwise, it is read-only.
Selecting the field indicates that the customer credit note can be included in a payment selection.
api annotation:PartialUpdate = yes - defaults to false
tlDInvoiceIsSelectedlogicalDInvoice.DInvoiceIsSelectedSelected. This field indicates whether the invoice is included in a payment selection.
This field is read-only.
api annotation:PartialUpdate = yes - defaults to false
tlDInvoiceIsWithBanklogicalDInvoice.DInvoiceIsWithBankWith Bank. This field indicates if the invoice has a customer bank number specified for it.
api annotation:PartialUpdate = yes - defaults to true
tcDInvoiceLegalDocumentListcharacterDInvoice.DInvoiceLegalDocumentListLegal Documents
tdDInvoiceNonDiscAmtTCdecimalDInvoice.DInvoiceNonDiscAmtTCTC Non-discount Amount. This field display the invoice amount without discount in base currency.
tdDInvoiceOriginalCreditTCdecimalDInvoice.DInvoiceOriginalCreditTCTC Invoice Amount CR. This field displays the credit total invoice amount in the transaction currency.
If you modify this field, the system automatically recalculates the exchange rate to ensure that the BC Invoice Amount remains the same.
tdDInvoiceOriginalDebitTCdecimalDInvoice.DInvoiceOriginalDebitTCTC AP Amount. This field displays the debit total invoice amount in the transaction currency.
If you modify this field, the system automatically recalculates the exchange rate to ensure that the TC Invoice Amount remains the same.
tiDInvoicePostingYearintegerDInvoice.DInvoicePostingYearYear.This field indicates the accounting year for the invoice.
If you modify these fields, the posting and tax dates are changed correspondingly.
api annotation:This field defaults to the accounting year associated with the posting date.
tdDInvoiceRateScaledecimalDInvoice.DInvoiceRateScaleScale Factor.This field indicates the scale factor applying to the exchange rate in use for foreign currency payments.
The exchange rate is multiplied by the scale factor to determine the actual exchange rate.
api annotation:The value for the scale factor defaults from the exchange rate definition, but it can be modified.
tcDInvoiceSalesOrderListcharacterDInvoice.DInvoiceSalesOrderListSales Orders
tcDInvoiceShipperListcharacterDInvoice.DInvoiceShipperListShippers
tcDInvoiceTSMNumbercharacterDInvoice.DInvoiceTSMNumberPayment Reference. This field contains a reference number to identify a customer payment for this invoice.
Normally this could be a unique transaction structured message (TSM) number. The TSM is a standard reference numbering system for electronic transfers,used by many banks.
tcDInvoiceTypecharacterDInvoice.DInvoiceTypeInvoice Type. This field displays the invoice type.
Invoice Correction and Credit Note Correction display as choices only when the appropriate daybook types have already been defined.
api annotation:PartialUpdate = yes - defaults to Invoice
tdDInvoiceVatCreditTCdecimalDInvoice.DInvoiceVatCreditTCTC Tax Amount CR. This field displays the credit tax amount (TC) calculated by the system using the total invoice amount (TC) and the applicable tax rate code.
tdDInvoiceVatDebitTCdecimalDInvoice.DInvoiceVatDebitTCTC Tax Amount DR. This field displays the debit tax amount (TC) calculated by the system using the total invoice amount (TC) and the applicable tax rate code.
tiDInvoiceVoucherintegerDInvoice.DInvoiceVoucherVoucher.This field displays the numeric identifier assigned to the posting.
When the daybook of the journal entry is charged(after transfer), the voucher is cleared.
Voucher must be unique in one GL period.
When the user input is zero, the system automatically assign a value not used yet for this field.
tiDivision_IDintegerDInvoice.Division_IDSub-Account
tcDivisionCodecharacterDivision.DivisionCodeSub-Account
tiDomiciliationNumberintegerDebtor.DomiciliationNumberDomiciliation Number
tcJournalCodecharacterJournal.JournalCodeA daybook code (maximum eight characters).
tdPaymentConditionLateIntdecimalPaymentCondition.PaymentConditionLateIntDaily Overdue Int Percentage
tcPaymentConditionPaymentTypcharacterPaymentCondition.PaymentConditionPaymentTypPayment Type
tdPaymentConditionPercentagedecimalPaymentCondition.PaymentConditionPercentageDiscount Percentage
tcPaymentGroupCodecharacterPaymentGroup.PaymentGroupCodePayment Group
tiPeriodPeriodintegerPeriod.PeriodPeriodGL Period
tiPeriodYearintegerPeriod.PeriodYearGL Calendar Year


Internal usage


QadFinancials
method BDPaymentSelection.GetToPayObjects