Name | Description | Default Content |
MV_BASECDI | It defines how the CDI rate is registered, whether on a monthly or yearly basis. 1 - Monthly. 2 - Annually. The way the rate is registered is decisive for Financials to calculate the yield of a CDI type investment, by correctly using the variation. |
|
MV_BLATHD | Number of threads for processing SITEF reconciliation. A maximum of 20. | 1 |
MV_BLALOT | Number of records per batch for Thread processing in SITEF reconciliation. | 1 |
MV_BOTFUNP | It is used in Accounts Payable functions to group some routines in option sub-groups. .T. - The grouped options are displayed. .F. - The grouped options are not displayed. | .F. |
MV_BOX | It defines whether the Combo box option is used to list options registered in X3_CBOX. | S |
MV_BP10925 | It defines whether the gross amount of the partial write-off is considered or the net amount plus taxes. (1=Gross Amt./2=Net Amt.) | 1 |
MV_BX10925 | Withholding of PCC tax calculated during bill write-off. | 1 |
MV_BXBORDE | Indicates the use of the keys [Alt] + [B] for write-off. Upon selection, it regards only bills written off for the bordereau. | N |
MV_BXCNAB | It defines whether the CNAB return bill write-offs must be grouped. S - Group write-offs to total transactions per Bank+Agency+Account+Date. S - Does not group write-offs to total transactions per date. | N |
MV_BXINSAU | Write-off of INSS bills withheld in Advance Payment (PA); presents options 1 = Yes or 2 = No. | 2 |
MV_BR10925 | It defines the moment of PIS, COFINS and CSLL tax amount write-offs, where: 1 - Tax deduction at document write-off. 2 - Tax deduction at document issue. | 2 |
MV_BQ10925 | It defines whether to regard, in the payment amount, the gross amount of the partial write-off or the net amount considering taxes. 1 - Gross Amount. 2 - Net Amount. | 1 |
MV_BDVCIMP | It changes taxes due dates (IR< PIS, COFINS, CSLL) considering the main bill due date when transferred through taxes packing slip. |
|
MV_BXSERA | Which write-off reasons will be considered for bill status alteration with Serasa. 1 = All 2 = That generate bank transactions | 2 |
Name | Description | Default Content |
MV_BCRESOL | Indicates whether the company that uses the system is a good taxpayer based on the resolution code. It can be configured with: Code - good taxpayer. Empty - not a good taxpayer. |
|