Data Conversion from Petra to Openpetra: Difference between revisions
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=== Standard Accounts === | === Standard Accounts === | ||
<pre>&GLOBAL-DEFINE EARNINGS-BF-ACCT 9700 | <pre>&GLOBAL-DEFINE EARNINGS-BF-ACCT 9700 | ||
&GLOBAL-DEFINE DIRECT-XFER-ACCT 5501 | &GLOBAL-DEFINE DIRECT-XFER-ACCT 5501 | ||
&GLOBAL-DEFINE ICH-SETTLEMENT-ACCT 5601 | &GLOBAL-DEFINE ICH-SETTLEMENT-ACCT 5601 | ||
&GLOBAL-DEFINE ICH-ACCT 8500 | |||
&GLOBAL-DEFINE INTERNAL-XFER-ACCT 9800 | &GLOBAL-DEFINE INTERNAL-XFER-ACCT 9800 | ||
&GLOBAL-DEFINE ADMIN-FEE-INCOME-ACCT 3400 | &GLOBAL-DEFINE ADMIN-FEE-INCOME-ACCT 3400 | ||
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&GLOBAL-DEFINE FUND-TRANSFER-INCOME-ACCT 3300 | &GLOBAL-DEFINE FUND-TRANSFER-INCOME-ACCT 3300 | ||
&GLOBAL-DEFINE FUND-TRANSFER-EXPENSE-ACCT 4800</pre> | &GLOBAL-DEFINE FUND-TRANSFER-EXPENSE-ACCT 4800</pre> | ||
Actually in use are ... | |||
<pre>&GLOBAL-DEFINE ICH-ACCT 8500</pre> | |||
In this case we set: | In this case we set: |
Revision as of 07:26, 18 April 2011
Standard and System Accounts
The Converter has to create the new set of account properties
In the code you can refer TAccountPropertyEnum.
This data shall be stored in a_account_property. Therefore new key of a_property_code_c is defined:
- Is_Special_Account
The primary key of a_account_property is:
CONSTRAINT a_account_property_pk PRIMARY KEY (a_ledger_number_i, a_account_code_c, a_property_code_c, a_property_value_c),
and so more than one value can be assigned to a key.
Standard Accounts
&GLOBAL-DEFINE EARNINGS-BF-ACCT 9700 &GLOBAL-DEFINE DIRECT-XFER-ACCT 5501 &GLOBAL-DEFINE ICH-SETTLEMENT-ACCT 5601 &GLOBAL-DEFINE ICH-ACCT 8500 &GLOBAL-DEFINE INTERNAL-XFER-ACCT 9800 &GLOBAL-DEFINE ADMIN-FEE-INCOME-ACCT 3400 &GLOBAL-DEFINE ADMIN-FEE-EXPENSE-ACCT 4900 &GLOBAL-DEFINE FUND-TRANSFER-INCOME-ACCT 3300 &GLOBAL-DEFINE FUND-TRANSFER-EXPENSE-ACCT 4800
Actually in use are ...
&GLOBAL-DEFINE ICH-ACCT 8500
In this case we set:
a_property_code_c = "Is_Special_Account"; a_property_value_c = "EARNINGS_BF_ACCT"
There is only one standard account for each of the types above. So the first value which is found shall be used.
Hint: The characters "-" and "_" are replaced in order to get a proper enum set in c#.
And furthermore there is another hard coded account
IF a_ledger.a_ilt_processing_centre_l THEN DO: FOR EACH a_account WHERE a_account.a_ledger_number_i EQ pv_ledger_number_i AND a_account.a_posting_status_l AND a_account.a_account_code_c BEGINS "85" ...
But this is ICH-ACCT
System Accounts
&GLOBAL-DEFINE GIFT-HEADING GIFT &GLOBAL-DEFINE INTER-LEDGER-HEADING ILT &GLOBAL-DEFINE BANK-HEADING CASH &GLOBAL-DEFINE BALANCE-SHEET-HEADING BAL SHT &GLOBAL-DEFINE PROFIT-AND-LOSS-HEADING PL &GLOBAL-DEFINE INCOME-HEADING INC &GLOBAL-DEFINE EXPENSE-HEADING EXP &GLOBAL-DEFINE DEBTOR-HEADING DRS &GLOBAL-DEFINE CREDITOR-HEADING CRS &GLOBAL-DEFINE TOTAL-ASSET-HEADING ASSETS &GLOBAL-DEFINE TOTAL-LIABILITY-HEADING LIABS &GLOBAL-DEFINE EQUITY-HEADING RET EARN
In this case we set:
a_property_code_c = "Is_Special_Account"; a_property_value_c = "GIFT_HEADING"
In this case we get a unique summation account.