Transaction Type Codes

When you post a transaction file, Vision assigns a transaction type code to every transaction in the posted file. The codes help you identify transactions and offer a more secure audit trail.

These transaction type codes display on the Posting Log Review and Account Analysis reports.

Type Description

AL

Indicates one of the following types of transactions: a key conversion posting, the opening of a new period, the opening of a new W-2 quarter, the opening of a new benefit accrual year, or the closing of a period

AP

Accounts Payable Voucher

AX

Converted Accounts Payable voucher detail line with no matching Accounts Payable entry

BA

Benefit Hours Accrual or Accrual Adjustment

BE

Interactive Billing Expense Transfer

BL

Interactive Billing Labor Transfer

BU

Interactive Billing Unit Transfer

CD

Cash Disbursement

CE

Converted Cash Disbursement for an Existing Voucher Transaction

CN

Converted Consultant Expense Transaction

CP

Change Project’s Profit Center

CR

Cash Receipt

CT

Converted transaction indicating when the conversion from a previous release was performed

CV

Accounts Payable Disbursement

EP

Employee Advance or Reimbursement

ER

Employee Repayment

EX

Employee Expense Report — Transaction Entry or Time & Expense

HA

Account History

HB

Employee Benefit Hours History

HE

Project Expense History

HL

Project Labor History

IH

Converted Billing Terms Billed-to-date Amount

IN

Invoice

IX

Converted Invoice General Ledger Entry

JE

Journal Entry

LA

Labor Adjustment

MI

Miscellaneous Expense

PG

Purged

PP

Accounts Payable Payment Processing

PR

Prints and Reproduction Expense

PX

Converted General Ledger Detail. Accounts Payable Payment Entries with no Matching Accounts Payable Entry

PY

Payroll Processing Posting

TS

Timesheet, entered through Transaction Entry or Time and Expense module

UN

Unit entry

XD

Converted Account Data, General Ledger Account Activity

XE

Converted Expense Summary Project Expenses