ML110 – Ledger Company Copy Delete

System
Multi-Ledger (ML)
Type
Batch program
Updates
23 tables
References
7 tables

ML110 (Ledger Company Copy Delete) is a Lawson Multi-Ledger batch program. It updates ADDRDATA, CKPOINT, MLAMOUNTS, MLCALMAP, MLCLSAUDIT, MLCOLEDGER, MLCONSOL, MLCONTROL and 15 more and references GLADDRESS, GLCHART, GLSYSTEM, GLUNITS, INSTCTRYCD, RJTRANS and WFSETUP.

About ML110

Run Ledger Company Copy Delete (ML110) to copy an existing ledger with or without its balances, zero out balances and transactions from an existing ledger, or delete a existing ledger. **Processing Effect Deleting or zeroing out a ledger or companies associated with a ledger has no impact on the companies themselves or on their General Ledger balances. The impact is solely in the Multi-Book Ledger application.

More information: To copy an existing ledger to a new ledger, select M (Copy) in the Action field, type the name of the new ledger created, and indicate whether you want to also copy the ledger's balances and transactions, select Y (Yes) in the Balance, Transactions field. The default is No, which copies only the ledger structure. The new ledger can contain just one company, or all the companies associated with the original ledger. To zero out an existing ledger's transactions and balances, select Z (Zero)and select the fiscal year and period for which you want to zero out balances on the Zero form tab. If you do not select a period (or period range) and fiscal year, the current period for the current fiscal year is zeroed out. You can also zero out the fiscal year beginning balances or leave them intact. To delete an existing ledger, select D (Delete) in the Action field, enter the ledger to be deleted. If you want to delete only one company within the ledger, select the ledger company you want removed from the ledger. If you want to delete the entire ledger, leave the Company field blank.

Updated files (23)

TableDescriptionSystem
ADDRDATAAddress CodeIF
CKPOINTNo description in the Lawson data dictionary
MLAMOUNTSMulti-Book Ledger AmountsML
MLCALMAPMulti-Book Ledger Calendar MapML
MLCLSAUDITMulti-Book Ledger Close AuditML
MLCOLEDGERMulti Book Ledger Co LedgerML
MLCONSOLMulti Book Ledger ConsolidatedML
MLCONTROLMulti Book Ledger ControlML
MLCUAMOUNTML Ledger Currency AmountML
MLCUCNTRLMl Ledger Currency ControlML
MLGRPDTLMulti Ledger Group DetailML
MLJELOGMulti Ledger Journal Entry LogML
MLLEDGERMulti Book LedgerML
MLMXVALUEML Attribute ValueML
MLRJCNTRLML Recurring ControlML
MLRJMXVALML Recurring Attribute ValuesML
MLRJTRANSML Recurring TransactionsML
MLRPTDEFMulti Ledger Report DefinitionML
MLRPTSELML Report SelectionML
MLSYSJEML Company Journal EntryML
MLTRANSML TransactionsML
MLUNITSML UnitsML
MXOBJCATAttribute ObjectIF

Referenced files (7)

TableDescriptionSystem
GLADDRESSGeneral Ledger Company AddressIF
GLCHARTGeneral Ledger ChartIF
GLSYSTEMGeneral Ledger CompanyIF
GLUNITSGeneral Ledger UnitsGL
INSTCTRYCDIntrastat Country CodesTX
RJTRANSRecurring Journal TransactionsGL
WFSETUPNo description in the Lawson data dictionaryWF

Program calls

Invoked programs (2)

IFOB, IFSG