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  • Offline Accounting - CTBAFIN - Financial - P12

01. OVERVIEW

This routine aims at generating offline accounting entries for financial operations.

02. EXECUTION

For the offline accounting:

  1. In the Offline Accounting window, a descriptive screen of the routine is displayed.
  2.  Click "Parameters".
    1. The system displays the parameters screen.
  3. Configure them according to field help instructions.
  4. Observe the following parameter:  
    1. Separate By?
      1. Period=The generation of accounting document generates an accounting document for each period date.
      2. Document = For each financial document (bills, for example) accounted, an accounting document is generated (similar operation to the online accounting, where each accounted bill generates a new accounting document).
      3. Process = For each accounted process (Addition Payable, Addition Receivable, Posting Payable, Posting Receivable, Bank Transaction etc.), a new accounting document is generated.

Tips

See more information on both cases - Document and Process - in the PARAMETERS APPLIED section in the Parameters/Separate by table


5. Check parameters and confirm them.

The system returns to the routine's description screen.

6. Confirm to start processing.

To be able to perform the routine, it is necessary to register, in SIGACTB

  • Accounting Calendar - CTBA010
  • Accounting Currency - CTBA140

After making the registrations, you should bind the currencies to the calendars.

  • Currency X Calendar - CTBA200

Performance Tip

The performance of the accounting routine, because it covers all operations of the financial module, implies the gathering of information from several tables, and this makes the maintenance of the Database Application (DBMS) an essential element to obtain better time results and avoid waste. Visit the links below for more details on this maintenance:

In addition, it is worth mentioning:

  • Check if the LIB, AppServer, Smartclient, DBAccess, and License Server versions are the same as the last ones available in the Customer Portal because some improvements are constantly being implemented to optimize performance for the Protheus 12 environment;
  • Updates to DBAccess and AppServer must be performed simultaneously in most cases because changes made to the AppServer dbapi library are reflected in DBAccess.


Other tools for environment/performance support and analysis:


03. PARAMETERS APPLIED


    Question

    Description

    Display Acc. Entry?

    Select Yes or No to indicate whether to display the accounting entry when booking online.

    Example:

    No.

    Group Acc. Entry?

    Select Yes or No to indicate whether to group entries in a single line if accounts, cost center, item, and value class are the same in the entries.

    Example:

    No.

    Account for issues?

    Indicates by selecting between the options By the issuing dt. (Accounting Dt. = E2_EMIS1/E1_EMISAO) and By the Database (dDataBase).

    The accounting of accounts payable is based on the date of inclusion of the bill in the system. This occurs so that accounting postings are not made in periods already closed. 


    Concept

    The accounting of accounts payable is based on the date of inclusion of the bill in the system. This occurs so that accounting postings are not made in periods already closed. 

    For example, when making a purchase on October 28, 2021, from a supplier in Manaus, the invoice is issued on October 28, 2021, and the cargo is delivered in Sao Paulo on November 3, 2021. Assuming that the company has already made the monthly closing of the accounting, it could not account using the date of issue of the invoice (October 28, 2021). Due to this type of circumstance, conceptually, we must account using the date of entry of the invoice into the system.


    For accounts receivable, the bill generation date is considered.  

    Example:

    06/24/2019

    From Date?

    This indicates the start of the date interval to filter records for offline accounting.

    Example:

    06/1/2019

    To Date?

    This indicates the end of the time interval to filter records for offline accounting.

    Example:

    06/30/2019

    From Portfolio?

    Indicates, by selecting between the options Receivable, Payable, Check, or All, whether the accounting entry will filter by bill nature.

    Example:

    No.

    Account postings?

    Indicates, by selecting between options By Posting Dt. (by the bill's posting date), By Typing Dt. (by the time when the user typed it), or By Avail. Dt. (by the date of availability typed by the user to account in the date of the bill transaction, not by the bill's posting date), for the accounting entry filter.

    Example:

    No.

    Cons. branches below?

    Indicates by selecting Yes or No, whether the following two parameters will be considered in offline accounting or not through the branch filter that the user has access to.

    Example:

    No.

    From Branch?

    Indicates by typing which branch will be the beginning of the filter interval for offline accounting.

    Example:

    D MG 01

    To Branch?

    Indicates by typing which branch will be the end of the filter interval for offline accounting.

    Example:

    ZZZZZZZZ

    Update summarized?

    Indicates, through the Yes or No options, whether summarized accounts (child accounts of detailed accounts) will be updated in offline accounting.

    Example:

    No.

    Separate by?

    Indicates through the Period, Document, or Process options.

    Example:

    • Period: For each Branch/Date informed, 01 (one) accounting document gathering the various financial processes will be generated; 
    • Document: Each financial record must generate 01 (one) accounting document;
    • Process: 01 (one) accounting document will be generated for each financial process.



    NOTICE: Definitions

    1.   CTBAFIN treats as a financial document: 

    • Each issue of a bill (payable or receivable);
    • Each bill posting operation (payable or receivable - except those linked to a bordereau);
    • Each bill posting operation linked to a bordereau (payment or receipt), with the bordereau being the Financial Document;
    • Financial Application or Financial Loan;
    • Redemption of financial application or payment of financial loan;
    • Check issuance or posting;
    • Advances or Rendering of Travel Accounts.

    2.   The CTBAFIN process is treated as:

    • Accounts Payable Issuance; 
    • Accounts Receivable Issuance;
    • Posting of Accounts Payable;
    • Posting of Accounts Receivable;
    • Bank transactions (Applications, Redemptions, Deposits, Withdrawals, or Bank Transfers);
    • Issuance and/or posting of checks;
    • Travel-related operations (Advances, Rendering of Accounts, etc.).

    Account Bordereau?

    Indicates, by means of the Total Bordereaux or Bordereau/Bordereau options, if the LP 532 accounting (Bosting of bordereau bills) will be dismembered or if daily accounting of the total of all bordereaux will take place (Documentation on the concept applied to the LP 532)

    Example:

    No.

    Consider Source Branch?

    Indicates, by selecting Yes or No, whether the following two parameters will be considered in offline accounting or not through the source branch filter.

    Example:

    No.

    Branch From?

    Indicates by typing which branch will be the beginning of the filter interval for offline accounting.

    Example:

    D MG 01

    To Branch?

    Indicates by typing which branch will be the end of the filter interval for offline accounting.

    Example:

    ZZZZZZZZ

    Book Prov. Bill?

    Indicates whether provisory bills must be booked.

    Example:

    No.

    Parameter

    Description

    Default Content

    MV_CFINTHR

    The number of threads to be used to speed up the accounting queue (CTBAFIN), with a minimum of 2 and a maximum of 30.
    Each processing instance requires that the minimum number of records be equal to or greater than 200.
     
    Check this page MV_MXRCTHR

    1

    MV_FINLOG

    Indicates whether or not the financial module offline accounting will generate unaccounted records log (.T.) or alerts (.f.). Documentation: https://tdn.totvs.com/x/zN6pHg

    .F.

    MV_DIRDOC

    The target directory where the files of the Knowledge Base will be stored.

    \DIRDOC\

    MV_CTBUPRC

    Defines whether to account using the new accounting model, with dynamic procedures for validations and inclusion of CT2 and CV3 data (.T.).

    .F.

    MV_TIPOLOG

    Enter 1 to generate the log file in txt or 2 to generate the report.

    1

    MV_SLDBXCR

    Indicates how the balance of the posting of the accounts receivable will be tracked, only when the check is compensated or at the time of the posting (B, C).

    The offline accounting uses the configuration of this parameter as follows:

    • Value B: Uses LP 520 through the posting record - SE5->E5_TIPODOC = VL
    • Value C: Uses LP 559 through the record of the check compensation date - SEF->EF_DTCOMP

    B

    MV_CTCHQBX

    Defines when the check will be accounted for on the posted bill: 1 = Generation, 2 = Release.

    1

    MV_CTMOVPA

    Indicates whether the LP 513 Offline Accounting will occur by the Bill (SE2) or Banking Transaction (SE5) of the Advance Payment, 1="SE2" / 2="SE5".

    1

    MV_CTBAGP

    Defines whether PCC bills are accounted for by their groupings or not (Default = .F.).

    .F.

    MV_NATTROC

    Determines which nature will be used in the generation of change outflow of SIGALOJA and FRONTLOJA.

    "TROCO"

    MV_GPDOCTB

    Determines that LPs 560 and 561 (Bank Transfer) will be grouped into the same accounting document when the question "Separate by?" is set to Document.

    .F.

    MV_BXCNAB

    Defines whether the CNAB return bill posts must be grouped, (S) Yes or (N) No.

    N

    MV_UNIAO

    Identify the code given to the Federal Revenue for payment of Income Tax.

    UNION

    MV_MUNIC

    Identifies the code of the finance department of the municipality for ISS collection. 

    MUNIC

    MV_ORDLCTB

    Sets the order of accounting postings in the integration batch/doc, "L"=Default standard entry order, "E" Inflow order, and "T" = Balance Type.

    L

    MV_CTBINTE

    1 - Accounting by bill, 2 - Accounting by sale (Use only for integration)

    1

    MV_DATADE

    Start date of the period for entering valid entries for accounting.

    20010101

    MV_DATAATE

    End date of the period for entering valid entries for accounting.

    20020531

    MV_CTBAIXA

    Type of Post Booking (Acc. Payable): (B) Posting, in the generation of (C) Check or (A) Both cases.

    C

    MV_CARTEIR

    Codes of banks in the portfolio.


    MV_CTBFLAG

    Indicates at which time the selection of the accounting flags in the financial records will be made:
    - .T. value (Recommended) - through the accounting module - SIGACTB - where there is a transaction tracking (*);
    - value .F. (Default) - Through the SIGAFIN module itself: CTBAFIN  - where there is no transaction tracking, i.e. the flag selection occurs without checking that errors or cancelations have occurred.



    Database - Transaction Tracking

    A transaction is a single work unit. If a transaction succeeds, all data changes made during the transaction are confirmed and become a permanent part of the database. If a transaction finds errors or needs to be canceled and or reversed, all data changes will be deleted.

    Source: Microsoft - SQL documents

    .F. (Default)

    .T. (Recommended)

    MV_BX10925

    Defines when the withholding of PIS, COFINS, and CSLL taxes is processed: 1 = At Posting or 2 = At Issue.

    1

    MV_CTMSFIL

    Used in offline accounting of the financial module with the question "Consider Source Branch" = YES. .T. = Consider FILORIG fields/.F. = MSFIL

    .F.

    MV_MXRCTHR

    The minimum number of records for a thread to be used in multi-thread processing.

    200

    MV_CNOUTR

    Trace/Log for analysis in the performance of the accounting integration - MV_CONOUTR




    04. ENTRY POINTS

    Below is the list of entry points available in the Offline Accounting (CTBAFIN) routine.

    Entry Point

    Note

    F370CTBUSR

    The entry point at the end of processing for complementary user processes.

    Documentation: http://tdn.totvs.com/display/PROT/DT_PONTO_ENTRADA_FIM_CONTABILIZACAO_OFFLINE_FINANCEIRO

    F370E5F

    Used as a string complement in the SE5 data filter in accounting.

    Documentation: F370E5F - Entry Point to filter SE5 records from the CTBAFIN routine

    F370E2F

    Used as a string complement in the SE2 data filter in accounting.

    Documentation: F370E2F - Entry Point to filter SE2 records from the CTBAFIN routine

    F370EFK

    Allows you to change the sorting key of the check accounting in the offline accounting routine.

    Documentation: http://tdn.totvs.com/pages/releaseview.action?pageId=6071542

    F370E5K

    Allows you to change the sorting key of the SE5 bank transactions accounting. 

    Documentation: https://tdn.totvs.com/x/4wsOAw

    F370E1F

    It confirms the selection of the bill for accounting.

    Documentation: F370E1F - Entry Point to filter SE1 records from the CTBAFIN routine

    F370E1W

    Changes the condition of the repeat loop "while" executed in table SE1.

    Documentation: http://tdn.totvs.com/pages/viewpage.action?pageId=185752211

    F370NATP

    Handles what will be calculated in the offline accounting routines - FINA370 and CTBAFIN.

    Documentation: http://tdn.totvs.com/pages/viewpage.action?pageId=185736570

    F370E5MBX

    Allows you to add post types to a list of items that should not be booked.

    Documentation: F370E5MBX - Allows you to enter posting purposes that will not participate in the accounting of bank transactions - SE5.

    F370E5R

    Used in the treatment for accounts receivable accounting.

    Documentation: http://tdn.totvs.com/display/public/mp/F370E5R+-+Contabiliza+contas+a+receber+--+11765

    F370E5P

    Used in the treatment of accounting payable.

    Documentation: http://tdn.totvs.com/pages/releaseview.action?pageId=6071027

    F370BORD

    Used to validate Standard Entries.

    F370EFF

    Used to filter SEF data at the time of accounting.

    Documentation: F370EFF - Entry Point to filter SEF records from the CTBAFIN routine

    F370EUF

    Used to filter data from SEU bills in accounting.

    Documentation: http://tdn.totvs.com/display/public/mp/F370EUF+-+Filtra+dados+--+11768

    CtbPFO7

    The entry point for positioning in table FO7 in the accounting of travel rendering of accounts before the execution of standard entries 8B3, 8B5.

    Documentation: http://tdn.totvs.com/display/PROT/DT_CTBPFO7_Ponto_de_Entrada

    05. STANDARD ENTRY

    LP 501 and 502 - Behaviors

    The inclusion of the RA-type bill is made using standard entry 501. This can be done online using the Accounts Receivable (FINA040) routine, or offline using the Offline Accounting routine (CTBAFIN).

    When the inclusion of the RA-type bill has already been accounted for, regardless of whether it was Online (FINA040) or Offline (CTBAFIN), the accounting of the deletion of the RA-type bill will be carried out by the Accounts Receivable routine (FINA040) using the standard entry 502.

    If the inclusion of the RA-type bill is not accounted for, the deletion of this bill will also not be accounted for via the Offline Accounting routine (CTBAFIN).

    Accounting FLAG: Behavior

    Accounting FLAGS are saved from the moment the record passes through the assessment of the rule defined in the standard entry (CT5_VLR01), whether it is met (return .T.) or not (return .F.).

    Therefore, once the LPs are present and active, the system will make the respective flag selection on the linked records regardless of the returned value and the manipulation of the records in the accounting screen (even if the rows are deleted)

    06. NOTE

    • When the TopConnect is used (Relational Database), the accounting may be processed in batch mode through the Schedule routine (automatic execution), through the Configuration module.
    • The  E5_NODIA, E5_DIACTB fields are only completed when the accounting is through document.

    07. OTHER INFORMATION

    Offline accounting with multiple processes – Financial

    Entry Points.

    Semaphore - Table F74 - Control of Simultaneous Processing in the Financial

    532 Posting of Bills Per Payment Bordereau