Easily find this page again using the shortlink: https://gpt.azrcrv.co.uk/PM00200
Product: Microsoft Dynamics GP (0)
Series: Purchasing
Display Name: PM Vendor Master File Group Display Name: Payables Vendor Master Logical File
Physical Name: PM00200
Technical Name: PM_Vendor_MSTR
Group Technical Name: PM_Vendor_Master_Logical_File
Seq No | Physical Name | Display Name | Dexterity Data Type | SQL Data Type | Length | |
---|---|---|---|---|---|---|
1 | VENDORID | Vendor ID | String | STR_15_Vendor_ID | 15 | |
2 | VENDNAME | Vendor Name | String | STR64_Vendor_Name | 64 | |
3 | VNDCHKNM | Vendor Check Name | String | STR64_Vendor_Name | 64 | |
4 | VENDSHNM | Vendor Short Name | String | STR15 | 15 | |
5 | VADDCDPR | Vendor Address Code - Primary | String | STR15_Address_Code | 15 | |
Partial key to the PM Address MSTR (PM00300).
Click to show/hideSELECT
['PM Vendor Master File'].VADDCDPR AS 'PM Vendor Master File-Vendor Address Code - Primary'
,['PM Address MSTR'].ADRSCODE AS 'PM Address MSTR-Address Code'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
PM00300 AS ['PM Address MSTR']
ON
['PM Vendor Master File'].VADDCDPR = ['PM Address MSTR'].ADRSCODE
AND
['PM Vendor Master File'].VENDORID = ['PM Address MSTR'].VENDORID | ||||||
6 | VADCDPAD | Vendor Address Code - Purchase Address | String | STR15_Address_Code | 15 | |
Partial key to the PM Address MSTR (PM00300).
Click to show/hideSELECT
['PM Vendor Master File'].VADCDPAD AS 'PM Vendor Master File-Vendor Address Code - Purchase Address'
,['PM Address MSTR'].ADRSCODE AS 'PM Address MSTR-Address Code'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
PM00300 AS ['PM Address MSTR']
ON
['PM Vendor Master File'].VADCDPAD = ['PM Address MSTR'].ADRSCODE
AND
['PM Vendor Master File'].VENDORID = ['PM Address MSTR'].VENDORID | ||||||
7 | VADCDSFR | Vendor Address Code - Ship From | String | STR15_Address_Code | 15 | |
Partial key to the PM Address MSTR (PM00300).
Click to show/hideSELECT
['PM Vendor Master File'].VADCDSFR AS 'PM Vendor Master File-Vendor Address Code - Ship From'
,['PM Address MSTR'].ADRSCODE AS 'PM Address MSTR-Address Code'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
PM00300 AS ['PM Address MSTR']
ON
['PM Vendor Master File'].VADCDSFR = ['PM Address MSTR'].ADRSCODE
AND
['PM Vendor Master File'].VENDORID = ['PM Address MSTR'].VENDORID | ||||||
8 | VADCDTRO | Vendor Address Code - Remit To | String | STR15_Address_Code | 15 | |
Partial key to the PM Address MSTR (PM00300).
Click to show/hideSELECT
['PM Vendor Master File'].VADCDTRO AS 'PM Vendor Master File-Vendor Address Code - Remit To'
,['PM Address MSTR'].ADRSCODE AS 'PM Address MSTR-Address Code'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
PM00300 AS ['PM Address MSTR']
ON
['PM Vendor Master File'].VADCDTRO = ['PM Address MSTR'].ADRSCODE
AND
['PM Vendor Master File'].VENDORID = ['PM Address MSTR'].VENDORID | ||||||
9 | VNDCLSID | Vendor Class ID | String | STR10_Class_ID | 10 | |
Key to the PM Class Master File (PM00100).
Click to show/hideSELECT
['PM Vendor Master File'].VNDCLSID AS 'PM Vendor Master File-Vendor Class ID'
,['PM Class Master File'].VNDCLSID AS 'PM Class Master File-Vendor Class ID'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
PM00100 AS ['PM Class Master File']
ON
['PM Vendor Master File'].VNDCLSID = ['PM Class Master File'].VNDCLSID | ||||||
10 | VNDCNTCT | Vendor Contact | String | STR60 | 60 | |
11 | ADDRESS1 | Address 1 | String | STR60 | 60 | |
12 | ADDRESS2 | Address 2 | String | STR60 | 60 | |
13 | ADDRESS3 | Address 3 | String | STR60 | 60 | |
14 | CITY | City | String | STR35 | 35 | |
15 | STATE | State | String | STR30_State | 29 | |
16 | ZIPCODE | Zip Code | String | STR10 | 10 | |
17 | COUNTRY | Country | String | STR60 | 60 | |
18 | PHNUMBR1 | Phone Number 1 | String | Phone_Number | 14 | |
19 | PHNUMBR2 | Phone Number 2 | String | Phone_Number | 14 | |
20 | PHONE3 | Phone 3 | String | Phone_Number3 | 14 | |
21 | FAXNUMBR | Fax Number | String | STR14_FAX | 14 | |
22 | UPSZONE | UPS Zone | String | STR3 | 3 | |
23 | SHIPMTHD | Shipping Method | String | STR15_Shipping_Method | 15 | |
Key to the Shipping Methods Master (SY03000).
Click to show/hideSELECT
['PM Vendor Master File'].SHIPMTHD AS 'PM Vendor Master File-Shipping Method'
,['Shipping Methods Master'].SHIPMTHD AS 'Shipping Methods Master-Shipping Method'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
SY03000 AS ['Shipping Methods Master']
ON
['PM Vendor Master File'].SHIPMTHD = ['Shipping Methods Master'].SHIPMTHD | ||||||
24 | TAXSCHID | Tax Schedule ID | String | STR15_Tax_Schedule_ID | 15 | |
Key to the Sales/Purchases Tax Schedule Header Master (TX00101).
Click to show/hideSELECT
['PM Vendor Master File'].TAXSCHID AS 'PM Vendor Master File-Tax Schedule ID'
,['Sales/Purchases Tax Schedule Header Master'].TAXSCHID AS 'Sales/Purchases Tax Schedule Header Master-Tax Schedule ID'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
TX00101 AS ['Sales/Purchases Tax Schedule Header Master']
ON
['PM Vendor Master File'].TAXSCHID = ['Sales/Purchases Tax Schedule Header Master'].TAXSCHID | ||||||
25 | ACNMVNDR | Account Number With Vendor | String | STR20 | 20 | |
26 | TXIDNMBR | Tax ID Number | String | Tax_ID_Number | 11 | |
27 | VENDSTTS | Vendor Status | Integer | DDL_Vendor_Status | 0 | |
28 | CURNCYID | Currency ID | String | STR15_Currency_ID | 15 | |
Key to the Currency Setup (MC40200).
Click to show/hideSELECT
['PM Vendor Master File'].CURNCYID AS 'PM Vendor Master File-Currency ID'
,['Currency Setup'].CURNCYID AS 'Currency Setup-Currency ID'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
DYNAMICS..MC40200 AS ['Currency Setup']
ON
['PM Vendor Master File'].CURNCYID = ['Currency Setup'].CURNCYID | ||||||
29 | TXRGNNUM | Tax Registration Number | String | STR25 | 25 | |
30 | PARVENID | Parent Vendor ID | String | STR_15_Vendor_ID | 15 | |
31 | TRDDISCT | Trade Discount | Integer | INT4_%2 | 4 | |
32 | TEN99TYPE | 1099 Type | Integer | 1099_Type | 0 | |
33 | TEN99BOXNUMBER | 1099 Box Number | Integer | DDL_1099_Box | 0 | |
34 | MINORDER | Minimum Order | Currency | DLR17_$U2 | 17 | |
35 | PYMTRMID | Payment Terms ID | String | STR20_Payment_Terms_ID | 20 | |
Key to the Payment Terms Master (SY03300).
Click to show/hideSELECT
['PM Vendor Master File'].PYMTRMID AS 'PM Vendor Master File-Payment Terms ID'
,['Payment Terms Master'].PYMTRMID AS 'Payment Terms Master-Payment Terms ID'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
SY03300 AS ['Payment Terms Master']
ON
['PM Vendor Master File'].PYMTRMID = ['Payment Terms Master'].PYMTRMID | ||||||
36 | MINPYTYP | Minimum Payment Type | Integer | GB_Amt_Type | 0 | |
37 | MINPYPCT | Minimum Payment Percent | Integer | INT5_%2 | 5 | |
38 | MINPYDLR | Minimum Payment Dollar | Currency | DLR17_RBS0_UTR$ | 17 | |
39 | MXIAFVND | Maximum Invoice Amount For Vendors | Integer | GB | 0 | |
40 | MAXINDLR | Maximum Invoice Dollar | Currency | DLR17_$U2 | 17 | |
41 | COMMENT1 | Comment1 | String | STR30 | 30 | |
42 | COMMENT2 | Comment2 | String | STR30 | 30 | |
43 | USERDEF1 | User Defined 1 | String | STR20 | 20 | |
44 | USERDEF2 | User Defined 2 | String | STR20 | 20 | |
45 | CRLMTDLR | Credit Limit Dollar | Currency | DLR17_$U2 | 17 | |
46 | PYMNTPRI | Payment Priority | String | STR3 | 3 | |
47 | KPCALHST | Keep Calendar History | Boolean | CB_Keep_Calendar_History | 0 | |
48 | KGLDSTHS | Keep GL Dist History | Boolean | CB_Keep_GL_Dist_History | 0 | |
49 | KPERHIST | Keep Period History | Boolean | CB_Keep_Period_History | 0 | |
50 | KPTRXHST | Keep Trx History | Boolean | CB_Keep_Trx_History | 0 | |
51 | HOLD | Hold | Boolean | CB_Hold | 0 | |
52 | PTCSHACF | Post To Cash Account From | Integer | GB | 0 | |
53 | CREDTLMT | Credit Limit | Integer | GB | 0 | |
54 | WRITEOFF | Writeoff | Integer | GB | 0 | |
55 | MXWOFAMT | Maximum Write Off Amount | Currency | DLR17_$U2 | 17 | |
56 | SBPPSDED | Subject To PPS Deductions | Boolean | CB_Subject_To_PPS_Deductions | 0 | |
57 | PPSTAXRT | PPS Tax Rate | Integer | INT5_%2 | 5 | |
58 | DXVARNUM | Deduction Exemption/Variation Number | String | STR25 | 25 | |
59 | CRTCOMDT | Certificate Commencing Date | Date | DT | 8 | |
60 | CRTEXPDT | Certificate Expiration Date | Date | DT | 8 | |
61 | RTOBUTKN | Reporting Obligation Undertaken | Boolean | CB_Reporting_Obligation | 0 | |
62 | XPDTOBLG | Expiration Date Obligation | Boolean | CB_Expiration_Date_Obligation | 0 | |
63 | PRSPAYEE | Prescribed Payee | Boolean | CB_Prescribed_Payee | 0 | |
64 | PMAPINDX | PM AP Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMAPINDX AS 'PM Vendor Master File-PM AP Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMAPINDX = ['Account Index Master'].ACTINDX | ||||||
65 | PMCSHIDX | PM Cash Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMCSHIDX AS 'PM Vendor Master File-PM Cash Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMCSHIDX = ['Account Index Master'].ACTINDX | ||||||
66 | PMDAVIDX | PM Discount Available Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMDAVIDX AS 'PM Vendor Master File-PM Discount Available Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMDAVIDX = ['Account Index Master'].ACTINDX | ||||||
67 | PMDTKIDX | PM Discount Taken Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMDTKIDX AS 'PM Vendor Master File-PM Discount Taken Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMDTKIDX = ['Account Index Master'].ACTINDX | ||||||
68 | PMFINIDX | PM Finance Charge Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMFINIDX AS 'PM Vendor Master File-PM Finance Charge Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMFINIDX = ['Account Index Master'].ACTINDX | ||||||
69 | PMMSCHIX | PM Misc Charges Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMMSCHIX AS 'PM Vendor Master File-PM Misc Charges Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMMSCHIX = ['Account Index Master'].ACTINDX | ||||||
70 | PMFRTIDX | PM Freight Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMFRTIDX AS 'PM Vendor Master File-PM Freight Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMFRTIDX = ['Account Index Master'].ACTINDX | ||||||
71 | PMTAXIDX | PM Tax Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMTAXIDX AS 'PM Vendor Master File-PM Tax Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMTAXIDX = ['Account Index Master'].ACTINDX | ||||||
72 | PMWRTIDX | PM Write Offs Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMWRTIDX AS 'PM Vendor Master File-PM Write Offs Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMWRTIDX = ['Account Index Master'].ACTINDX | ||||||
73 | PMPRCHIX | PM Purchases Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMPRCHIX AS 'PM Vendor Master File-PM Purchases Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMPRCHIX = ['Account Index Master'].ACTINDX | ||||||
74 | PMRTNGIX | PM Retainage Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMRTNGIX AS 'PM Vendor Master File-PM Retainage Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMRTNGIX = ['Account Index Master'].ACTINDX | ||||||
75 | PMTDSCIX | PM Trade Discount Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PMTDSCIX AS 'PM Vendor Master File-PM Trade Discount Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PMTDSCIX = ['Account Index Master'].ACTINDX | ||||||
76 | ACPURIDX | Accrued Purchases Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].ACPURIDX AS 'PM Vendor Master File-Accrued Purchases Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].ACPURIDX = ['Account Index Master'].ACTINDX | ||||||
77 | PURPVIDX | Purchase Price Variance Index | Long Integer | LI_14 | 14 | |
Key to the Account Index Master (GL00105).
Click to show/hideSELECT
['PM Vendor Master File'].PURPVIDX AS 'PM Vendor Master File-Purchase Price Variance Index'
,['Account Index Master'].ACTINDX AS 'Account Index Master-Account Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
GL00105 AS ['Account Index Master']
ON
['PM Vendor Master File'].PURPVIDX = ['Account Index Master'].ACTINDX | ||||||
78 | NOTEINDX | Note Index | Currency | DLR14 | 14 | |
Key to the Record Notes Master (SY03900).
Click to show/hideSELECT
['PM Vendor Master File'].NOTEINDX AS 'PM Vendor Master File-Note Index'
,['Record Notes Master'].NOTEINDX AS 'Record Notes Master-Note Index'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
SY03900 AS ['Record Notes Master']
ON
['PM Vendor Master File'].NOTEINDX = ['Record Notes Master'].NOTEINDX | ||||||
79 | CHEKBKID | Checkbook ID | String | STR15_Checkbook_ID | 15 | |
Key to the CM Checkbook Master (CM00100).
Click to show/hideSELECT
['PM Vendor Master File'].CHEKBKID AS 'PM Vendor Master File-Checkbook ID'
,['CM Checkbook Master'].CHEKBKID AS 'CM Checkbook Master-Checkbook ID'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
CM00100 AS ['CM Checkbook Master']
ON
['PM Vendor Master File'].CHEKBKID = ['CM Checkbook Master'].CHEKBKID | ||||||
80 | MODIFDT | Modified Date | Date | DT | 8 | |
81 | CREATDDT | Created Date | Date | DT | 8 | |
82 | RATETPID | Rate Type ID | String | STR15_Rate_Type_ID | 15 | |
Key to the Multicurrency Rate Type Setup (MC40100).
Click to show/hideSELECT
['PM Vendor Master File'].RATETPID AS 'PM Vendor Master File-Rate Type ID'
,['Multicurrency Rate Type Setup'].RATETPID AS 'Multicurrency Rate Type Setup-Rate Type ID'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
MC40100 AS ['Multicurrency Rate Type Setup']
ON
['PM Vendor Master File'].RATETPID = ['Multicurrency Rate Type Setup'].RATETPID | ||||||
83 | Revalue_Vendor | Revalue Vendor | Boolean | CB Revalue Vendor | 0 | |
84 | Post_Results_To | Post Results To | Integer | GB | 0 | |
85 | FREEONBOARD | Free On Board | Integer | DDL_Free_On_Board | 0 | |
86 | GOVCRPID | Governmental Corporate ID | String | STR30_Gov_Corp_ID | 30 | |
87 | GOVINDID | Governmental Individual ID | String | STR30_Gov_Indiv_ID | 30 | |
88 | DISGRPER | Discount Grace Period | Integer | INT2_U0 | 2 | |
89 | DUEGRPER | Due Date Grace Period | Integer | INT2_U0 | 2 | |
90 | DOCFMTID | Document Format ID | String | STR15_LBU | 15 | |
91 | TaxInvRecvd | Tax Invoice Received | Boolean | CB_Tax_Invoice_Received | 0 | |
92 | USERLANG | User Language ID | Integer | INT | 0 | |
93 | WithholdingType | Withholding Type | Integer | DDL_WithholdingType | 0 | |
94 | WithholdingFormType | Withholding Form Type | Integer | DDL_WithholdingFormType | 0 | |
95 | WithholdingEntityType | Withholding Entity Type | Integer | DDL_WithholdingEntityType | 0 | |
96 | TaxFileNumMode | Tax File Number Mode | Integer | DDL_TaxFileNumMode | 0 | |
97 | BRTHDATE | Birth Date | Date | DT | 8 | |
98 | LaborPmtType | Labor Payment Type | Integer | DDL_LaborPaymentType | 0 | |
99 | CCode | Country Code | String | STR6_VAT | 6 | |
Key to the VAT Country Code MSTR (VAT10001).
Click to show/hideSELECT
['PM Vendor Master File'].CCode AS 'PM Vendor Master File-Country Code'
,['VAT Country Code MSTR'].CCode AS 'VAT Country Code MSTR-Country Code'
FROM
PM00200 AS ['PM Vendor Master File']
INNER JOIN
VAT10001 AS ['VAT Country Code MSTR']
ON
['PM Vendor Master File'].CCode = ['VAT Country Code MSTR'].CCode | ||||||
100 | DECLID | Declarant ID | String | STR15_Address_Code | 15 | |
101 | CBVAT | Cash Based VAT | Boolean | CB_CashBasedVAT | 0 | |
102 | Workflow_Approval_Status | Workflow Approval Status | Integer | DDL_WorkflowApprovalStatus | 0 | |
103 | Workflow_Priority | Workflow Priority | Integer | DDL_WorkflowPriority | 0 | |
104 | Workflow_Status | Workflow Status | Integer | Workflow Status | 0 | |
105 | VADCD1099 | Vendor Address Code - 1099 | String | STR15_Address_Code | 15 | |
106 | ONEPAYPERVENDINV | One Pay Per Vendor Invoice | Integer | GB | 0 | |
107 | VENDDBA | DBA | String | STR65 | 65 |
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