AM30.2 – Items

System
Asset Management (AM)
Type
Online screen — form 30
Updates
28 tables
References
17 tables

AM30.2 (Items) is a Lawson Asset Management online screen (form 30, subform 2). It updates ADDRDATA, AMACCOUNT, AMACCTAU, AMACCTGPAU, AMASSET, AMASSETTRF, AMASTBKTRF, AMASTBOOK and 20 more and references AMACCTGRP, AMASSETADJ, AMASSETDSP, AMASTBKADJ, AMBOOK, AMCALENDAR, AMDIVISION, AMTYPALLOC and 9 more.

About AM30.2

Use Items (AM30.2) to indicate which items to transfer and what quantity of each item to transfer. This subform opens automatically if you defined a transfer on Transfers (AM30.1) with the Transfer field set to P (Partial). You must enter the total quantity to be transferred in the Transfer Quantity field. You must also indicate the quantity to be transferred for each asset.

Updated files (28)

TableDescriptionSystem
ADDRDATAAddress CodeIF
AMACCOUNTAsset Management AccountAM
AMACCTAUAsset Account AuditAM
AMACCTGPAUAsset Account Group AuditAM
AMASSETAssetAM
AMASSETTRFAsset TransferAM
AMASTBKTRFAsset Book TransferAM
AMASTBOOKAsset BookAM
AMASTITEMAsset ItemAM
AMASTITTRFAsset Item TransferAM
AMASTMXVALAsset AttributesAM
AMASTRPAIRAsset RepairAM
AMASTTYPAUAsset Type AuditAM
AMASTTYPEAsset TypeAM
AMAUGROUPAsset Accounting Unit GroupAM
AMAUGRPAUAM Accounting Unit Group AuditAM
AMBKHISTAsset Book HistoryAM
AMBKHISTXPeriod Asset Book HistoryAM
AMBKTRANSAsset Book TransactionsAM
AMCNTRLAUAsset System Options AuditAM
AMCONTROLAsset Internal ControlAM
AMCTLTRANSAsset Control TransactionAM
AMDIVISNAUAM Division AuditAM
AMMONITORNo description in the Lawson data dictionaryAM
AMSEGBLOCKNo description in the Lawson data dictionaryAM
AMTRANSAsset TransactionAM
AMTRANSUMMAsset Transaction SummaryAM
SYSTEMCODESystem CodeIF

Referenced files (17)

TableDescriptionSystem
AMACCTGRPAsset Account GroupAM
AMASSETADJAsset AdjustmentAM
AMASSETDSPAsset DisposalAM
AMASTBKADJAsset Book AdjustmentAM
AMBOOKAsset Book NameAM
AMCALENDARAsset CalendarAM
AMDIVISIONAsset DivisionAM
AMTYPALLOCThe The Asset Management Type Allocation file stores the allocation history for a type (type and subtype).AM
AMTYPALLOXThe Asset Type Allocation Detail file stores the accounting units and percentages for each company, asset type (or…AM
GLADDRESSGeneral Ledger Company AddressIF
GLCHARTGeneral Ledger ChartIF
GLCODESGeneral Ledger CodesIF
GLINTCOGeneral Ledger IntercompanyIF
GLSYSTEMGeneral Ledger CompanyIF
INSTCTRYCDIntrastat Country CodesTX
LMLEASELease InformationLM
LMLEASESEGThis file stores the user analysis values for a lease.LM

Program calls

Invoked programs (21)

ACAC, ACTA, AMCO, API4, GLCC, IFAC, IFAU, IFCU, IFFC, IFGT, IFLU, IFOB, IFRS, IFSC, IFSG, IFUP, SLFD, SLSB, SLSE, SLSS, SLSU