...
FeeAmount := 0;
TotalRecRecords := 0;
TotalRecRecordsRev := 0;
// Journal name for no serie
GlBatchName.GET(ActGenJnlLine."Journal Template Name",ActGenJnlLine."Journal Batch Name");
...
...
FeeAmount := 0;
TotalRecRecords := 0;
TotalRecRecordsRev := 0;
// Add the following line.
IsCancellationExist := FALSE;
// End of the added line.
// Journal name for no serie
GlBatchName.GET(ActGenJnlLine."Journal Template Name",ActGenJnlLine."Journal Batch Name");
...
...
// Split File line into fields
// Delete the following lines.
FileID := COPYSTR(Line,1,3);
IF FileID <> '036' THEN
ERROR(Text049 + Text011);
TA := COPYSTR(Line,36,2);
IF NOT (TA = '97') THEN BEGIN
TotalRecord := FALSE;
EVALUATE(InvoiceAmt,COPYSTR(Line,54,13));
EVALUATE(yyCR,COPYSTR(Line,4,2));
EVALUATE(mmCR,COPYSTR(Line,6,2));
EVALUATE(ddCR,COPYSTR(Line,8,2));
IF yyCR > 98 THEN
PostDate := DMY2DATE(ddCR,mmCR,1900 + yyCR)
ELSE
PostDate := DMY2DATE(ddCR,mmCR,2000 + yyCR);
DebitDirectOrderNo := COPYSTR(Line,34,2);
EVALUATE(DebitDirectRecordNo,COPYSTR(Line,38,6));
EVALUATE(RejectionCode,COPYSTR(Line,543,2));
Currency := COPYSTR(Line,51,3);
// DEBIT DIRECT
LsvJour.RESET;
LsvJour.SETRANGE("Credit Date",PostDate);
LsvJour.SETRANGE("DebitDirect Orderno.",DebitDirectOrderNo);
IF NOT LsvJour.FIND('+') THEN
ERROR(Text059,DebitDirectOrderNo,PostDate);
LsvJournalLine.RESET;
//CH0001.begin
LsvJournalLine.SETCURRENTKEY("LSV Journal No.","Transaction No.");
LsvJournalLine.SETRANGE("LSV Journal No.",LsvJour."No.");
//LsvJournalLine.SETRANGE("Line No.",DebitDirectRecordNo);
LsvJournalLine.SETRANGE("Transaction No.",DebitDirectRecordNo);
//LsvJournalLine.FIND('-');
IF NOT LsvJournalLine.FINDFIRST THEN BEGIN
d.CLOSE;
ERROR(Text11500, DebitDirectRecordNo, DebitDirectOrderNo);
END;
//CH0001.end
InInvoiceNo := LsvJournalLine."Applies-to Doc. No.";
// END DEBIT DIRECT
// Process transaction of credit record
CASE TA OF
'81': // Credit
BEGIN
Transaction := Transaction::Credit;
LsvJournalLine."LSV Status" := LsvJournalLine."LSV Status"::Open;
LsvJournalLine."DD Rejection Reason" := LsvJournalLine."DD Rejection Reason"::" ";
LsvJournalLine.MODIFY;
IF LSVSetup.READPERMISSION THEN BEGIN
ClosedByESR(InInvoiceNo);
END;
END;
'84': // Cancellation "Storno"
BEGIN
IF RejectionCode <> 2 THEN
Transaction := Transaction::Correction
ELSE
Transaction := Transaction::Cancellation;
LsvJournalLine."LSV Status" := LsvJournalLine."LSV Status"::Rejected;
LsvJournalLine."DD Rejection Reason" := RejectionCode;
LsvJournalLine.MODIFY;
END;
ELSE
ERROR(Text023 + Text011);
END;
END ELSE BEGIN
TotalRecord := TRUE;
EVALUATE(TempAmount,COPYSTR(Line,60,13));
CreditAmount := CreditAmount + TempAmount / 100;
EVALUATE(TempAmount,COPYSTR(Line,82,13));
RejectionAmount := RejectionAmount + TempAmount / 100;
EVALUATE(TempAmount,COPYSTR(Line,104,13));
ReversalAmount := ReversalAmount + TempAmount / 100;
EVALUATE(TempAmount,COPYSTR(Line,120,11));
FeeAmount := FeeAmount + TempAmount / 100;
// Credit Count
EVALUATE(TempAmount,COPYSTR(Line,54,6));
TotalRecRecords := TotalRecRecords + TempAmount;
// Rejection Count
EVALUATE(TempAmount,COPYSTR(Line,76,6));
TotalRecRecordsRev := TotalRecRecordsRev + TempAmount;
// Reversal Count
EVALUATE(TempAmount,COPYSTR(Line,98,6));
TotalRecRecordsRev := TotalRecRecordsRev + TempAmount;
END;
// END OF SPLIT
IF NOT (TotalRecord) AND (Transaction <> Transaction::Correction) THEN BEGIN
// End of the deleted lines.
// Insert GL line
GenJournalLine.INIT;
GenJournalLine."Journal Template Name" := ActGenJnlLine."Journal Template Name";
...
...
// Split File line into fields
// Add the following lines.
FileID := COPYSTR(Line,1,3);
IF FileID <> '036' THEN
ERROR(Text049 + Text011);
TA := COPYSTR(Line,36,2);
IF NOT (TA = '97') THEN BEGIN
TotalRecord := FALSE;
EVALUATE(InvoiceAmt,COPYSTR(Line,54,13));
EVALUATE(yyCR,COPYSTR(Line,4,2));
EVALUATE(mmCR,COPYSTR(Line,6,2));
EVALUATE(ddCR,COPYSTR(Line,8,2));
IF yyCR > 98 THEN
PostDate := DMY2DATE(ddCR,mmCR,1900 + yyCR)
ELSE
PostDate := DMY2DATE(ddCR,mmCR,2000 + yyCR);
DebitDirectOrderNo := COPYSTR(Line,34,2);
EVALUATE(DebitDirectRecordNo,COPYSTR(Line,38,6));
EVALUATE(RejectionCode,COPYSTR(Line,543,2));
Currency := COPYSTR(Line,51,3);
// DEBIT DIRECT
LsvJour.RESET;
LsvJour.SETRANGE("Credit Date",PostDate);
LsvJour.SETRANGE("DebitDirect Orderno.",DebitDirectOrderNo);
IF NOT LsvJour.FIND('+') THEN
ERROR(Text059,DebitDirectOrderNo,PostDate);
LsvJournalLine.RESET;
//CH0001.begin
LsvJournalLine.SETCURRENTKEY("LSV Journal No.","Transaction No.");
LsvJournalLine.SETRANGE("LSV Journal No.",LsvJour."No.");
//LsvJournalLine.SETRANGE("Line No.",DebitDirectRecordNo);
LsvJournalLine.SETRANGE("Transaction No.",DebitDirectRecordNo);
//LsvJournalLine.FIND('-');
IF NOT LsvJournalLine.FINDFIRST THEN BEGIN
d.CLOSE;
ERROR(Text11500, DebitDirectRecordNo, DebitDirectOrderNo);
END;
//CH0001.end
InInvoiceNo := LsvJournalLine."Applies-to Doc. No.";
// END DEBIT DIRECT
// Process transaction of credit record
CASE TA OF
'81': // Credit
BEGIN
Transaction := Transaction::Credit;
LsvJournalLine."LSV Status" := LsvJournalLine."LSV Status"::Open;
LsvJournalLine."DD Rejection Reason" := LsvJournalLine."DD Rejection Reason"::" ";
LsvJournalLine.MODIFY;
IF LSVSetup.READPERMISSION THEN BEGIN
ClosedByESR(InInvoiceNo);
END;
END;
'84': // Cancellation "Storno"
BEGIN
IF RejectionCode <> 2 THEN
Transaction := Transaction::Correction
ELSE
Transaction := Transaction::Cancellation;
LsvJournalLine."LSV Status" := LsvJournalLine."LSV Status"::Rejected;
LsvJournalLine."DD Rejection Reason" := RejectionCode;
LsvJournalLine.MODIFY;
END;
ELSE
ERROR(Text023 + Text011);
END;
END ELSE BEGIN
TotalRecord := TRUE;
EVALUATE(TempAmount,COPYSTR(Line,60,13));
CreditAmount := CreditAmount + TempAmount / 100;
EVALUATE(TempAmount,COPYSTR(Line,82,13));
RejectionAmount := RejectionAmount + TempAmount / 100;
EVALUATE(TempAmount,COPYSTR(Line,104,13));
ReversalAmount := ReversalAmount + TempAmount / 100;
EVALUATE(TempAmount,COPYSTR(Line,120,11));
FeeAmount := FeeAmount + TempAmount / 100;
// Credit Count
EVALUATE(TempAmount,COPYSTR(Line,54,6));
TotalRecRecords := TotalRecRecords + TempAmount;
// Rejection Count
EVALUATE(TempAmount,COPYSTR(Line,76,6));
TotalRecRecordsRev := TotalRecRecordsRev + TempAmount;
// Reversal Count
EVALUATE(TempAmount,COPYSTR(Line,98,6));
TotalRecRecordsRev := TotalRecRecordsRev + TempAmount;
END;
// END OF SPLIT
IF NOT (TotalRecord) AND (Transaction <> Transaction::Correction) THEN BEGIN
// End of the added lines.
// Insert GL line
GenJournalLine.INIT;
GenJournalLine."Journal Template Name" := ActGenJnlLine."Journal Template Name";
...
...
GenJournalLine.INIT;
GenJournalLine."Journal Template Name" := ActGenJnlLine."Journal Template Name";
GenJournalLine."Journal Batch Name" := ActGenJnlLine."Journal Batch Name";
LastLineNo := LastLineNo + 10000;
GenJournalLine."Line No." := LastLineNo;
GenJournalLine."Document No." := NextDocNo;
...
...
GenJournalLine.INIT;
GenJournalLine."Journal Template Name" := ActGenJnlLine."Journal Template Name";
GenJournalLine."Journal Batch Name" := ActGenJnlLine."Journal Batch Name";
// Add the following lines.
GenJournalLine."Posting Date" := PostDate;
GenJournalLine."Account Type" := GenJournalLine."Account Type"::Customer;
IF Transaction = Transaction::Cancellation THEN BEGIN
IsCancellationExist := TRUE;
GenJournalLine."Document Type" := GenJournalLine."Document Type"::Refund;
NextDocNo := NoSeriesMgt.GetNextNo(GlBatchName."No. Series",PostDate,FALSE);
END ELSE
GenJournalLine."Document Type" := GenJournalLine."Document Type"::Payment;
// End of the added lines.
LastLineNo := LastLineNo + 10000;
GenJournalLine."Line No." := LastLineNo;
GenJournalLine."Document No." := NextDocNo;
...
...
LastLineNo := LastLineNo + 10000;
GenJournalLine."Line No." := LastLineNo;
GenJournalLine."Document No." := NextDocNo;
// Delete the following lines.
GenJournalLine."Posting Date" := PostDate;
GenJournalLine."Account Type" := GenJournalLine."Account Type"::Customer;
GenJournalLine."Document Type" := GenJournalLine."Document Type"::Payment;
// End of the deleted lines.
GeneralLedgerSetup.GET;
IF GeneralLedgerSetup."LCY Code" <> Currency THEN
...
...
LastLineNo := LastLineNo + 10000;
GenJournalLine."Line No." := LastLineNo;
GenJournalLine."Document No." := NextDocNo;
// Add the following lines.
IF Transaction = Transaction::Cancellation THEN
NextDocNo := NoSeriesMgt.GetNextNo(GlBatchName."No. Series",PostDate,FALSE);
// End of the added lines.
GeneralLedgerSetup.GET;
IF GeneralLedgerSetup."LCY Code" <> Currency THEN
...
...
IF CustLedgerEntry.FIND('-') THEN
GenJournalLine.VALIDATE("Account No.",CustLedgerEntry."Customer No.");
// Delete the following lines.
GenJournalLine."Applies-to Doc. Type" := GenJournalLine."Applies-to Doc. Type"::Invoice;
GenJournalLine."Applies-to Doc. No." := InInvoiceNo;
// End of the deleted lines.
IF GenJournalLine."Currency Code" <> CustLedgerEntry."Currency Code" THEN
GenJournalLine.VALIDATE("Currency Code",CustLedgerEntry."Currency Code");
...
...
IF CustLedgerEntry.FIND('-') THEN
GenJournalLine.VALIDATE("Account No.",CustLedgerEntry."Customer No.");
// Add the following lines.
IF Transaction <> Transaction::Cancellation THEN BEGIN
GenJournalLine."Applies-to Doc. Type" := GenJournalLine."Applies-to Doc. Type"::Invoice;
GenJournalLine."Applies-to Doc. No." := InInvoiceNo;
END;
// End of the added lines.
IF GenJournalLine."Currency Code" <> CustLedgerEntry."Currency Code" THEN
GenJournalLine.VALIDATE("Currency Code",CustLedgerEntry."Currency Code");
...
...
// *** Bal account per line or as combined entry
// Delete the following line.
IF MultiplePostingDates THEN BEGIN
// End of the deleted line.
// Bal Account per line
IF GenJournalLine.FIND('-') THEN
REPEAT
...
...
// *** Bal account per line or as combined entry
// Add the following line.
IF MultiplePostingDates OR IsCancellationExist THEN BEGIN
// End of the added line.
// Bal Account per line
IF GenJournalLine.FIND('-') THEN
REPEAT
...