GL00
|
Ordered Reports File
|
Company
|
|
GL000100
|
GL03
|
Accounting Dimensions
|
Company
|
Year
|
GL030112
|
GL06
|
General Ledger Transactions
|
Company
|
Year
|
GL060112
|
GL07
|
Daybook Journal Transactions
|
Company
|
Year
|
GL070112
|
GL08
|
Opening Balance Journal Transactions
|
Company
|
Year
|
GL080112
|
GL09
|
Report Layouts
|
Company
|
|
GL090100
|
GL10
|
General Ledger Parameters
|
Company
|
Year
|
GL100112
|
GL11
|
Automatic Allocations
|
Company
|
|
GL110100
|
GL12
|
Chart of Account Headings
|
Company
|
Year
|
GL120112
|
GL14
|
Simulation Transactions
|
Company
|
Year
|
GL140112
|
GL15
|
Transaction Workfile C
|
Company
|
|
GL150100
|
GL16
|
General Ledger Parameters 2
|
Company
|
Year
|
GL160112
|
GL18
|
Phrase File
|
Company
|
|
GL180100
|
GL19
|
Transaction Workfile D
|
Company
|
|
GL190100
|
GL1A
|
GL Budget Profiles
|
Company
|
Year
|
GL1A0112
|
GL21
|
Project History Transactions
|
Company
|
|
GL210100
|
GL22
|
Transaction Workfile A
|
Company
|
|
GL220100
|
GL23
|
Report Generator
|
Company
|
|
GL230100
|
GL24
|
Report Notes
|
Company
|
|
GL240100
|
GL25
|
Report Interactive Notes
|
Company
|
|
GL250100
|
GL26
|
Cash Flow Planned Transaction Setup
|
Company
|
|
GL260100
|
GL27
|
Cash Flow Accounts
|
Company
|
|
GL270100
|
GL28
|
Parameter File Interest Charge Project
|
Company
|
|
GL280100
|
GL29
|
Account Number Alias
|
Company
|
|
GL290100
|
GL30
|
Transaction Workfile B
|
Company
|
|
GL300100
|
GL34
|
WrkDepreciation
|
|
|
GL340000
|
GL40
|
Consolidated Currencies
|
Company
|
Year
|
GL400112
|
GL41
|
Consolidation Account Translations
|
Company
|
Year
|
GL410112
|
GL42
|
Cash-Book Reconciliation Accounts
|
Company
|
|
GL420100
|
GL43
|
Cash-Book Reconciliation Transactions
|
Company
|
|
GL430100
|
GL44
|
Workfile Cheques
|
Company
|
|
GL440100
|
GL45
|
Transaction Text
|
Company
|
Year
|
GL450112
|
GL46
|
Valid Coding Combinations
|
Company
|
Year
|
GL460112
|
GL52
|
General Ledger Balances
|
Company
|
Year
|
GL520112
|
GL53
|
Account Schedule
|
Company
|
Year
|
GL530112
|
GL55
|
Foreign Descriptions
|
Company
|
Year
|
GL550112
|
GL56
|
Commitments
|
Company
|
Year
|
GL560112
|
GL57
|
Bank Statement Header
|
Company
|
|
GL570100
|
GL58
|
Bank Statement Transactions
|
Company
|
|
GL580100
|
GL59
|
Reconcilation Proposal
|
Company
|
|
GL590100
|
GL5A
|
Multi-Currency Links
|
Company
|
Year
|
GL5A0112
|
GL5B
|
Multi-Currency General Ledger Balances
|
Company
|
Year
|
GL5B0112
|
GL5C
|
Bank Definition
|
Company
|
|
GL5C0100
|
GL5D
|
Multi-Link Statistical Account Balances
|
Company
|
Year
|
GL5D0112
|
GL5S
|
SPED parameters
|
Company
|
Year
|
GL5S0112
|
GL60
|
Compound Allocations
|
Company
|
|
GL600100
|
GL61
|
Compound Allocation Descriptions
|
Company
|
|
GL610100
|
GL62
|
Compound Allocation Lines
|
Company
|
|
GL620100
|
GL65
|
Compound Allocation Remeasurement Transactions
|
Company
|
|
GL650100
|
GL67
|
Compound Allocation Selection History
|
Company
|
|
GL670100
|
GL77
|
EMU Conversion Set-up
|
Company
|
|
GL770100
|
GL80
|
Un-Authorized Transactions (Greece)
|
Company
|
Year
|
GL800112
|
GLB2
|
Operation Details
|
Company
|
|
GLB20100
|
GLB3
|
Receipt Information
|
Company
|
|
GLB30100
|
GLBT
|
Converted GL06 transactions
|
Company
|
Year
|
GLBT0112
|
GLC1
|
Statement- or Debit/Credit Notification Message
|
Company
|
|
GLC10100
|
GLC2
|
Statement- or Debit/Credit Notification Message Page
|
Company
|
|
GLC20100
|
GLC3
|
Statement- or Debit/Credit Notification
|
Company
|
|
GLC30100
|
GLC4
|
Statement- or Debit/Credit Notification Entry
|
Company
|
|
GLC40100
|
GLC5
|
Statement- or Debit/Credit Notification Entry Detail
|
Company
|
|
GLC50100
|
GLC6
|
Statement- or Debit/Credit Notification Entry Detail Transaction
|
Company
|
|
GLC60100
|
GLC7
|
Statement- or Debit/Credit Notification Entry Detail Transaction Unstructured Remittance
|
Company
|
|
GLC70100
|
GLC8
|
Statement- or Debit/Credit Notification Entry Detail Transaction Structured Remittance
|
Company
|
|
GLC80100
|
GLC9
|
Charges
|
Company
|
|
GLC90100
|
GLCB
|
Petty Cash Master Table
|
Company
|
Year
|
GLCB0112
|
GLCD
|
Petty Cash Desk Parameters
|
Company
|
Year
|
GLCD0112
|
GLCE
|
Cash Office
|
Company
|
|
GLCE0100
|
GLCF
|
Cash Office Language Dependent Description
|
Company
|
|
GLCF0100
|
GLCG
|
Reason Code
|
Company
|
|
GLCG0100
|
GLCH
|
Notification processing template header
|
Company
|
|
GLCH0100
|
GLCI
|
Reason Code Language Dependent Description
|
Company
|
|
GLCI0100
|
GLCL
|
Notification processing template Line
|
Company
|
|
GLCL0100
|
GLCW
|
Compound Periodic Allocation Work File
|
|
|
GLCW0000
|
GLCX
|
Petty Cash Extension File
|
Company
|
Year
|
GLCX0112
|
GLCY
|
Petty Cash Transaction File
|
Company
|
Year
|
GLCY0112
|
GLEB
|
Extended General Ledger Balance
|
Company
|
Year
|
GLEB0112
|
GLF1
|
Financial Reporting Report Definition
|
Company
|
|
GLF10100
|
GLF2
|
Financial Reporting RowSet
|
Company
|
|
GLF20100
|
GLF3
|
Financial Reporting Row
|
Company
|
|
GLF30100
|
GLF4
|
Financial Reporting Leaf Row Properties
|
Company
|
|
GLF40100
|
GLF5
|
Financial Reporting ColumnSet
|
Company
|
|
GLF50100
|
GLF6
|
Financial Reporting Column
|
Company
|
|
GLF60100
|
GLF7
|
Accounting Dimension Categories
|
Company
|
|
GLF70100
|
GLF8
|
Accounting Dimension Categories Leaf Properties
|
Company
|
|
GLF80100
|
GLFA
|
Financial Reporting Report Definition Descriptions
|
Company
|
|
GLFA0100
|
GLFB
|
Financial Reporting RowSet Descriptions
|
Company
|
|
GLFB0100
|
GLFC
|
Financial Reporting Row Descriptions
|
Company
|
|
GLFC0100
|
GLFD
|
Financial Reporting ColumnSet Descriptions
|
Company
|
|
GLFD0100
|
GLFE
|
Financial Reporting Column Descriptions
|
Company
|
|
GLFE0100
|
GLFF
|
Accounting Dimension Categories Descriptions
|
Company
|
|
GLFF0100
|
GLGL
|
GL Consolidation
|
Company
|
|
GLGL0100
|
GLH0
|
PMS Interface File Structure Definition (Header)
|
Company
|
|
GLH00100
|
GLH1
|
PMS Interface File Structure Definition (Records)
|
Company
|
|
GLH10100
|
GLH2
|
PMS Interface Mapping File
|
Company
|
|
GLH20100
|
GLHI
|
FA Transaction History
|
Company
|
|
GLHI0100
|
GLII
|
Company fiscal parameters for Italian fiscal reports
|
Company
|
|
GLII0100
|
GLR1
|
|
Company
|
|
GLR10100
|
GLR2
|
|
Company
|
|
GLR20100
|
GLR6
|
GL Reversed Transactions
|
Company
|
Year
|
GLR60112
|
GLR7
|
GL Reversed Transactions in Daybook Journal
|
Company
|
Year
|
GLR70112
|
GLRD
|
|
Company
|
|
GLRD0100
|
GLRH
|
Revenue Recognition History WIP Journal
|
Company
|
|
GLRH0100
|
GLRJ
|
|
Company
|
Year
|
GLRJ0112
|
GLRM
|
Revenue Recognition Model Codes
|
Company
|
|
GLRM0100
|
GLRR
|
|
Company
|
|
GLRR0100
|
GLTH
|
BLiner functionality
|
Company
|
Year
|
GLTH0112
|
GLTM
|
Transaction Mapping
|
Company
|
|
GLTM0100
|
GLTR
|
Transformation Rules for BLiner functionality
|
Company
|
Year
|
GLTR0112
|
GLXX
|
Wrk. Acc.Spec.
|
|
|
GLXX0000
|
GLXZ
|
SQL work file
|
|
|
GLXZ0000
|
GLZZ
|
Hyperion Export Parameters
|
Company
|
|
GLZZ0100
|
sca_trg_Audit_GL03
|
Audit trigger for GL03 table
|
Company
|
Year
|
sca_trg_Audit_GL030112
|
sca_trg_Audit_GL10
|
Audit trigger for GL10 table
|
Company
|
Year
|
sca_trg_Audit_GL100112
|
sca_trg_Audit_GL16
|
Audit trigger for GL16 table
|
Company
|
Year
|
sca_trg_Audit_GL160112
|
sca_trg_Audit_GL53
|
Audit trigger for GL53 table
|
Company
|
Year
|
sca_trg_Audit_GL530112
|
sca_trg_Audit_GLCD
|
Audit trigger for GLCD table
|
Company
|
Year
|
sca_trg_Audit_GLCD0112
|
sca_trg_Audit_GLCE
|
Audit trigger for GLCE table
|
Company
|
|
sca_trg_Audit_GLCE0100
|
sca_trg_Audit_GLCF
|
Audit trigger for GLCF table
|
Company
|
|
sca_trg_Audit_GLCF0100
|
sca_trg_Audit_GLCG
|
Audit trigger for GLCG table
|
Company
|
|
sca_trg_Audit_GLCG0100
|
sca_trg_Audit_GLCI
|
Audit trigger for GLCI table
|
Company
|
|
sca_trg_Audit_GLCI0100
|