General Ledger (RFN09)
Allocations
Reporting
Hyperion/BI Publisher?
Cognos
Showcase Strategy
FASTR
World Writers
Dream Writers
52 Week Accounting
Import/Export Data
Banking
LLoyds
Statements
Automatic Reconciliation
Manual Reconciliation
Journals
## Journals for Corrections
Interfaces
PHH Fuel Cards F5609111
Payroll
Budgeting
Manually Entered
Spread Patterns
Modifications
Job Cost Inquiry P64012
UKC Bespoke programs
J55011 Chart of Accounts for COGNOS
J56LTDIFF Run Queries to find mismatches between ledger type
J560008 Date Pattern Revisions (Domestic Rebates)
J560171 Ann F/cast Var by Individual Account
J56028 rebuild date / week number x-ref file f56028
J56040 GA: Select/Print Bank Statements to Reconcile
J560434 LHS P&L By Market Sector and Job (YTD)
J5609010 : Access Bank account statements from server
J5609010L GA: Access LLOYDS Bank account statements from ser
J5609010L# GA: Access LLOYDS Bank account statements from ser
J5609020 GA: Convert A/c
J5609111 Automatic Journal Entry Update - PHH Cards
J5609111DK Automatic Journal Entry Update - PHH Cards
J5609112 Automatic Journal Entry Update - FTP File Transfer
J560917 Validate Chargeout MCU on Burden Distribution File
J560920 Budget Pattern Revisions
J560921 Update financial week on Company Constants file F0
J560922 F0911/F1202 extract into F0911X
J560923 Saleable Output Report
J560924 Saleable Output Report (Signs NOT reversed)
J560925 Saleable Output Report (Signs NOT reversed)
J560926 Business Unit/Account Report
J560927 Business Unit/Account Report
J5641003 Batch run of G/L code conversion Work file create
J5641004 Batch run of G/L code conversion
J64131 Reconciliation
J64132 Display Open Items - G/L Account Reconciliation
J64132P Reconciliation Print - Open Items
J64132PJ Reconciliation Print - Open Items
J64510 G/L Bank Reconciliation from Tape - Print
J64802 Batch Order Completion
P56040 GA: Select/Print Bank Statements to Reconcile
P56041 GA: Update Statement List File
P56042 GA: Select Statement
P5609010 GA: Listing of GL Batch Journal Entries
P5609016L GA: Apply LLOYDS fields into Bank Rec File
P5609111 Automatic Journal Entry Update - PHH Cards
P5609112 Automatic Journal Entry Update - Interrogate FTP L
P560921 Update financial week on Company Constants file F0
P560922 F0911/F1202 extract into F0911X
P560923 Saleable Output Report
P5641003 Online Inventory G/L Code Conversion
P5641004
P64131 Manual Reconciliation
P64132 G/L Reconciliation Display
P64132P Reconciliation Print - Open Items
P64510 Match Bank Tape File to Recon File
P64510A Bank Reconcilliation file Consolidation
P64802 Maintian Gigajoules Ledger
P565100B Project Status Report (54 Period)
J561401 Period Budgeting by Account
J561402 Annual Budget by Business Unit
J561407 Preserve RFL Data for FC1
P560920 Budget Pattern Code Revisions
P561401 Detailed Budget by Account (54 Period)
P561402 Annual Budget by Business Unit (54 Periods)
P561403 Spread Annual to Periods (54 Periods)
P561404 Actual Movement Against Budget
P561405 Extract Data into F561406
P561406 Re-populate F0902b from F561406
P561412 Annual Budgets Upload - Exception Report
P561413 Annual Budgets Upload
P56438 Extract Spend Budget by week
P56439 Display Spend Budget - category summary
P565100 Project Status Report
J5609011 GA: Run Payroll report
J560900 GA: Pull Cybord upload file to As400
J5609001 GA: Produce preview of payroll jrn enries
J5609005 GA: Drag upload file into AS400
J5609005A GA: Drag upload file into AS400
J5609005B GA: Drag upload file into AS400
J5609005C GA: Drag upload file into AS400
J5609005D GA: Drag upload file into AS400
J5609005E GA: Drag upload file into AS400
J5609005F GA: Drag upload file into AS400
J5609005G GA: Drag upload file into AS400
J5609005H GA: Drag upload file into AS400
J5609005I GA: Drag upload file into AS400
J5609005J GA: Drag upload file into AS400
J5609005K GA: Drag upload file into AS400
J5609005L GA: Drag upload file into AS400
J5609005M GA: Drag upload file into AS400
J5609005N GA: Drag upload file into AS400
J5609005P GA: Drag upload file into AS400
J5609005Q GA: Drag upload file into AS400
J5609005R GA: Drag upload file into AS400
J5609006 GA: Drag upload file into AS400
J5609006A GA: Drag upload file into AS400
J5609006B GA: Drag upload file into AS400
J5609006C GA: Drag upload file into AS400
J5609006D GA: Drag upload file into AS400
J5609006E GA: Drag upload file into AS400
J5609006F GA: Drag upload file into AS400
J5609006G GA: Drag upload file into AS400
J5609006H GA: Drag upload file into AS400
J5609006I GA: Drag upload file into AS400
J5609006J GA: Drag upload file into AS400
J5609006K GA: Drag upload file into AS400
J5609006L GA: Drag upload file into AS400
J5609006M GA: Drag upload file into AS400
J5609006N GA: Drag upload file into AS400
J5609006P GA: Drag upload file into AS400
J5609006Q GA: Drag upload file into AS400
J5609006R GA: Drag upload file into AS400
J5609007 GA: Cleardown AS400 interface files
J5609008 GA: Cleardown JDE Batch Jrn Entry - F0911Z1
J5609009 GA: Push down of Business Unit File
Modified JDE Programs
P098201 G/L Annual Close
P14101 Detailed Budget by Account
P14102 Annual Budget by Business Unit
P14103 Annual Budget by Account
P14110 PC Budget Upload/Conversion
P510121 Original Budget Entry
J09110 Journal Entry Conversion PC to A
J098201 Annual Close (Repeatable - w/o Final)
P09101 Journal Entry
P09110 Journal Entry Conversion PC
P09200 Account Ledger Inquiry
P09210 T/B by Business Unit
P092131 Account Balance by Subledger
P09214 T/B by Object Account
P09302 Compute Cost Allocations
P093021 Compute Indexed Allocations
P093022 Compute Var/Num Allocations
P097001 Integrity Test - Companies in Balance
P09800 Post General Ledger
XT0911Z1 Journal Entry Functional Server
Multicurrency
Account Structure
Subledgers Active
Model Chart
VAT Processing
Process Issues
Not able to extract data or run reports to forecast accurately from JDE
FASTR/ World Writer reporting to complex for users
Accounts Payable (RFN04)
Supplier Setup
Supplier Master J01054, J01051
Payee Control Approval
Supplemental Data used
One Time Vendor Processing
Supplier Payments
Cheque Payments
Remittances
BACS - Enhancement
Modified JDE Programs
P04570 Create Payment Groups
Reporting
Integrity reports
Standard Creditors Reports
Ad Hoc Reports
Import/Export Data
Voucher Processing
Logging Invoices for non PO
PO Matching
3 Way Match
10%/£10 Tolerances
Manual Invoice Creation
Credit Note Reimbursements - Working Rights Process
Speed Status Update
Invoice Approval
Modified JDE programs
P04105 Voucher Entry
P041051 A/P Voucher Logging - Journal Entry Prompt Window
XT0411Z1 Accounts Payable Functional Server
P042002 A/P Voucher-Journal Entry Redistribution
UKC Bespoke Programs/Reports
P560410 Cost Code on Purchase Order Detail Window
P560411 Outstanding GRN's against existing invoices
P560412 Suspected Duplicate Payments Report
P560413 Outstanding GRN's against existing invoices
P560415 Cost Code on Purchase Order Detail Window
Interface UK Claims
Modifications
Programs/Reports
J04105 Voucher Entry with Use Tax and V.A.T.
J04570 Create Payment Groups
J560411 Outstanding GRN's against existing invoices
J560412 Suspected Duplicate Payments
J560413 Outstanding GRN's against existing invoices
J560416 Populate F0411X from F0411
P03101 Accounts Receivable and Accounts Payable Journal E
P04105 Voucher Entry
P041051 A/P Voucher Logging - Journal Entry Prompt Window
P042002 A/P Voucher-Journal Entry Redistribution
P04570 Create Payment Groups
P560410 Cost Code on Purchase Order Detail Window
P560411 Outstanding GRN's against existing invoices
P560412 Suspected Duplicate Payments Report
P560413 Outstanding GRN's against existing invoices
P560415 Cost Code on Purchase Order Detail Window
P5642L02 LHS: Global Update on Customer Master
XT0411Z1 Accounts Payable Functional Server
3 Way Match Supplier window Pop up F8 - Log F15 - Supplier Details
Process Issues
Payee control approval not detailed enough
Require the ability to pay by BACS
Require the ability to store scanned attachments in the system
Accounts Receivable (RFN03)
Customer Master
Credit Checking > 5K
Line of Business processing
Customer Invoicing
Sources
Property Management
Contract billing
Direct Billing
Sales Orders
Delinquency Fees
Reimbursements
Deductions
Wirte Off's
Receipts
Foreign Payments Received
EURO
USD
Automatic Receipt Processing
Manual Receipt Processing
Credit & Collections
3 Reminder Letters
Legal Letters
Activity Log
Statements
Ad Hoc Basis
Post & Fax
Email BI Publisher
Interfaces
SABRE Form Formatting
Discounts/Rebates
Created via Ad Hoc Credit Notes
Reporting
Cash Forecasting - Excel
Hyperian/BI Publisher
Import/Export Data
Modifications
Bespoke Programs
P64803 Query Letter
J560301 Batch update G/L class code in F0301/F03012
P560301 Batch update G/L class code in F0301/F03012
P5642L01 LHS: Global Update on Customer Master
Modified JDE Programs
P03218 Accounts Receivable Collections Manager
P03505 Simple A/R Invoices Print
P04573 Print A/P Payments Attachments - UK
P03530 Payment Reminder - Final
P035301 Payment Reminder
P037001 Integrity Test - A/R to G/L by Offset Account
Fixed Assets - Finance (RFN12)
Purchased Fixed Assets
Sources
Property Management
Purchasing
Accounts Payable
Journal Entry
Financial/Non Financial Assets
Non Financial Data
Non financial data assets created to track items which make up the asset
Project Accounting
Job Costing
Reporting
Manual Asset Audit 6 Months
World Writers
STAR Reports
Showcase Strategy
Hyperion/BI Publisher?
Depreciation
Straight Line Method
Interfaces
PM Scheduling
Fuel Managment
Payroll - Cyborg
Modifications
Modified JDE Programs
P12230 Suppl Data - Inquiry by Type of Data
P1201 Asset Master Information
P12011 Item Components and NBV
P1204 Item Search and Location
P12106 Asset Split
P12110 Equipment Time Entry
P12115 Transfer Processing
P122101 Item Cost Summary
P12215 Location Inquiry
UKC Bespoke Programs
J561211A Integrity Test - F/A to G/L
P560901 Equipment Billing Location Explanation
P561211 Integrity Test - F/A to G/L
J56106 Asset Merge
J561201 Equipment Register
J561204 PI Equipment Register For Assets
J561210 Item Split
J561211 Integrity Test - F/A to G/L
Revaluation
Asset Processing
Asset Splits
Asset Transfer
Asset Disposal
Process Issues
Reporting not giving the HSE enough information
Asset held in fixed assets as one asset but has many components i.e roof supports
Assets bought and sold in the same year do not appear on reports
Property Management (RFN15)
Lease Information
Areas
Agricultural
Land Leases
Real Estate
Log Line Information
Holding AR invoicing information
Billing
Manual Billing
Recurring Billing
Catch Up
Reporting
World Writers
FASTR
Modifications
Modified Programs
P1502 Recurring Billing Revisions
P15100 Recurring Billing Generation
P15103 Tenant Receivables Cash Receipts
P15500 Property Management Invoices - Recurring Billings
UKC Bespoke Programs
J564012 Lease Log Report - Additional Details
J561502 Extract Lease information
J561503 Create F1501A workfile
J561504 Extract Live Lease information
J5615415 Land Licences Schedule
P561501 Tenant A/R Ledger Inquiry
P561502 Extract Lease data to workfiles
P561503 Create Lease Workfile F1501A
P561504 Extract Live Lease data to workfiles
P5615415 Land Licences Schedule
P564012 Lease Log Report - Additional Details
Process Issues
Standard Property reports not producing any data
Insufficient billing frequencies so using log lines to instruct AR
Sales and Marketing (RSM)
Invoicing
Modified JDE Programs
P49700 : Cycle Billing Program
P49800 : Sales Update - ECS Version
P42061 : Billing Instructions Revisions - Page 2
Bespoke Programs
P564209 : Invoice and Customer Reference Inquiry
P564216 : S&M - Exemption for Climate Change Levy
P564221 : Sales Order Invoices :Print to file for transmission
P564221H : Sales Order Invoices :Housekeeping of backup file.
P564221O : Invoice by FTP to Coal4Energy-edit FTP source
P64565 : Sales Order Invoices Print
Hauliers
Modified JDE Programs
P49750 : Freight Calculator
X49750 : Freight Server
Bespoke Programs
P564208 : Weighbridge Reports
P64401 : Haulier Self Bill Order
P64401B : Haulier Self Bill Order
P64831 : Process Truck Tickets
Interfaces
OASYS
iWeighman
C4E update
Hargreaves *future
CISNT
Sales Orders
Modified JDE Programs
P40211Z : Batch Order Edit/Create Sales Orders
P4074W : Adjustment History Window
P42040 : Sales Order Speed Release
P4211 : Sales Order Entry - Detail
P4211EC : Sales Order Entry - Detail
Bespoke Programs
P56GO001 : Generator Orders - Create extract GO410200
P56045 : Customer Service Enquiry
P5610100 : Speed Status Update for Haulier Orders
P5611 : Sales Order Entry - Detail
P5611EC : Sales Order Entry - Detail
P5642040 : Sales Order Speed Release LHS
P564213 : Extract Data from S.O. Details & P.V. Tables
P564214 : Populate fields on Adjustment Lines
P564215 : Population of Sub-ledger in Order Detail Lines
P6440 : Generate Domestic Monthly Order
P64801 : Batch Order Completions
Inventory/Stocks
Bespoke Programs
P564205 : Product Specifications
P564206 : Populate Eff't End Date on Price Variable Table F4
P56421 : Gigajoule error correction MN :TJG
P56426 : Create Gigajoule Order Line File MN
P56428 : Create F4075 with long VBT for current date MN
P564291 : Set Item Detail G/L Date for Sales
P564293 : Update F4077, RTAST(RIGHT,2) into RTURC1
Reporting
Bespoke Programs
P56423 : Create Sales Reporting File MN :TJG
P56425 : Create Stock Reporting File MN
P56427 : Create VAT File Updates F56426 MN
Background Notes
Customers
Mainly power generators
Third Parties
Access to JDE
Data capture
Coal for Energy (C4E)
Interface
Daily flat files to update C4E systems from JDE
Sales
Orders
Enter orders in JDE
Use UKC system
Handle domestic and industrial sales
Use UKC stocks
Climate Change Levy
Pricing
Contracts
Pricing
Done through standard Advanced Pricing
Invoicing
Period end
Paper
PDF e-mailed to customer
Processing
Manual update to invoicing status
Enhancements
Moving invoicing from period to weekly
Capture sales order on a weekly basis
Ad hoc
Products such as clay. dirt, etc
Issues
Delays due to A/P
Delays due to resourcing
Stock
Product types
Coal "blended" to provide correct stock types
Specifications
Prodcution
Pits supply details
Figures key to company performance
Issues
Delays due to resourcing
Accuracy of figures
Scheduling
Done outside of JDE
Orders entered weekly
Invoicing
Process
Currently periodic
Small volumes
Issues
Move to weekly
Hauliers/Freight
Process
Charges via Advanced Pricing
Generators handle own haulage
Weighbridge
"Self-billing" statements
UKC has own haulage
Controlled via A/P
Sales Orders
Purchasing (RSC6)
Purchase Orders
Bespoke Functionality
'VOCAB' Generic Items
Modified JDE Pgms
P4310 Purchase Order Entry - Header
P4311 Purchase Order Entry - Detail
P43025 Purchase Order Speed Status Update
P43070 Held Order Release
P430301 Order Inquiry
UKC Bespoke Pgms
P564316 Cost Code on Purchase Order Detail Window
P564317 Cost Code on Purchase Order Detail Window
Order Generation
Modified JDE Pgms
P43011 Purchase Order Generator
P43032 Purchase Order Generator - Suppliers Ordered From
P43060 Blanket Order Release
UKC Bespoke Pgms
P64032 Purchase Order Generator - Suppliers Ordered From
Requisitions
Supply & Commitments
UKC Bespoke Pgms
P5610020 SC: Update Commitment extract by Colliery
P5610021 SC: Step back through OI/OP orders to orig'nl type
P5610022 SC: Recalculate Budget info for selected colliery
P5610023 SC: Step back orders to check if add or change
P5610031 SC: Reset Commitment details- Back Copies
P5610033 SC: Provid empty records for budgets
P5610035 SC: Reset Commitment week to date totals
P5610036 SC: Update Commitment extract by Colliery
P5610040 SC: Inventory Extract
P56434 Extract G/L category data for supply & contracts
P564351 Selection Criteria for Supply & Contract Commitment
P564352 Selection Criteria for Supply & Contract Commitment
P56441 Supply & Contract trend analysis reset
UKC Bespoke Reports
P5610003 SC: Request Commitment report
P5610008 SC: Request Commitment report
P5610029 SC: Spending Officer Commitment Report
P5610032 SC: Commitment - todays details
P5610041 SC: Reconciliation Report
P5610050 Report Requisitions Over $50K
P5610051 Report Req/Cmmtmnts Over $50K - Extract Requisitio
P5610052 Report Req/Cmmtmnts Over $50K - Report
P564320 S&C: Colliery Sole Supplier Report
P564321 S&C: Unused Supplier Report
Areas Of Improvement
Purchase Orders in .pdf format for email
Receipt Routing to record 'In Transit' stock
Provide Examples of Supplier Analysis reports
Rationalise PO Types and Line Types
Demo Approval Express - PO Approval via emails
Menu Structure
Quotes
Modified JDE Pgms
P43530 Quote Request Report
4 x Level 1 Mods
PO Receipts (GRN)
Modified JDE Pgms
P4312 Receipts by PO/Item/Account
P4314 Match Open Purchase Orders
Reports
Modified JDE Pgms
P43233 Supplier Cost Analysis
P43420 Purchases Journal
UKC Bespoke Reports
P564318 Open Purchase Order Status Report
P564323 Purchase Orders By Status
Ad Hoc Pgms
UKC Bespoke Pgms
P56B2BPRG Purge Program For B2B Data - (F47017)
P56CAPEX CAPEX Data Extract
P564105 Update Price Catalogue Expiry Date
P564109 S & C Supplier Price Change.
P564111 S & C Supplier Price Update
P564119 Supplier price catalogue upload
P564119I Supplier price catalogue upload-edit ftp source
P564119O Supplier price catalogue feedback-edit ftp source
P5643001 Maintain Purchase Order G/L Classes
P564301 Copy Purchase Contract (non-JDE Pgm)
P564303 Populate Last Supplier Details
P564322 Update/audit the supplier catalogue part no x-refe
PO Print
Modified JDE Pgms
P43500 Purchase Orders Print
UKC Bespoke Pgms
P564313 Purchase Order Print
P564315 Alternative Purchase Order Print
P565315 Quality Complaints Print
Inventory (RSC21)
Subsidence
Interfaces
BACS
BI Publisher
SABRE
Lloyds Bank Reconciliation
Menu: RFNRECL - Bank Reconciliation Menus (Lloyds)
J5609010L Bank Statement Load (Lloyds)
Barclays Bank Reconciliation
RFNREC - Bank Reconciliation Menus (Barclays)
J5609010 Bank Statement Load(Barclays)
UK Claim
New Development
CISNT
Scheduled via SLEEPER
J564300A Transfer CIS-NT data to JDE
OASYS
RSM211 - Sales Order Entry
JOAX0130C Download Order to Weighbridge
RSM42S1OLA - S&M S1 Ticket Matching
JOAEXTRACT Generate Extract Files
JOAX0225C Delete Order Sts Recs in Btch
RSM42S1OLB - RJB Sales and Marketing Batch Stream 1 - Continued
JOAU0100C Order Completion/Update
RSM28 - OASYS INTERFACE MANAGEMENT MENU
JOAPROOF Prooflist Extract Files
JOAWRKOUTQ Display Extract Prints
JOAX0130C Manual Order
JOAX0050C Manual Quality
JOAX0150C Manual Stock
JOAX0110C Manual Address
JOAX0090C Manual Sales/Relationship
JOAX0070C Manual Haulier
JOAWRKOQ1 Display Advice Note Prints
JOAWRKOQ2 Display Stock Prints
JOAEXTRACT Generate Extract Files
J64801 Order Status Change Download
JOAU0100C Order Completion/Update
J64801 Order Status Change Upload
ROASYS - OASYS Maintenance and Utilities Menu
MAINTENANCE
JOAX0135C Extend/Retain Parameters
JOAX0145C Stock Reference Number
JOAU0005C Set Upload Processing Ind
JOAX0215C Delete Order Status Records
JOAX0225C Delete Order Sts Recs in Btch
UTILITIES
JOAWRKMSGQ Display Messages
JOAX0220C Runqry on Order Status File
JOAX0200C Runqry on Extract Files
JOAX0210C Runqry on Mirror Files
JOAD0200C Delete Mirror Records
JOASIZEPF Report on OASYS file sizing
iWeighman
IWM001 - iWeighMan Extract Menu
Manual Extracts to iWeighMan
JDE Programs
J81900 Sites
J81900 Address Book
J81900 Customer Mailing Address
J81900 Hauliers Mailing List
J81900 Item Master
J81900 Sales Orders
J81900 Split VAT code
J81900 Purchase Orders
J81900 Data Dictionary
Bespoke Programs
Full Extracts
JDE Programs
J81900 All Data
Bespoke Programs
J56050 Send/Resend all extracts
PHH Fuel Card
RFNFUEL - UK COAL - FUEL CARD PROCESSING
J5609111 Upload Fuel File to AS400
Payroll
PAYROLL - Payroll Menu
PAYROLL SELECTION
J5609006 Deep Mines Payroll
J5609006H HPS Payroll
J5609006F Centechnology Payroll
J5609006G LHS Payroll
J5609006C Plant Payroll
J5609006D Mining Payroll
J5609006A Monthly Payroll
J5609006B Executive Payroll
BACS SELECTION
J5609006I Deep Mines BACS
J5609006M HPS BACS
J5609006N Centechnology BACS
J5609006K LHS BACS
J5609006P Plant BACS
J5609006L Mining BACS
J5609006Q Monthly BACS
J5609006R Executive BACS
C4E
C4E - Coal4Energy enquiries
J56C4EXREF Order Extract x-reference
Cyborg
PAYINT - Payroll to GL Interface
*** CYBORG ***
Bespoke Programs
J5609011 Payroll Summary Print
P5609000 List of Payroll/Wk Picked Up
JDE Programs
J0901Z1 Journal Entry Revisions
J0901Z1 Journal Entry Review
** ERROR RECOVERY
P5609004 Delete out of balance payrolls
P5609007 Clear AS400 interface payrolls
P5609008 Remove a selected payroll
*** PROCESS THRU TO G/L
Bespoke Programs
P5609014 Colliery Payroll Summary Print
J5609009 **Download BUNS File to Access
JDE Programs
J09110Z Process Batch Jrn Ent. - Final
J09201 General Journal Review
J09800 Post to G/L
Cognos
COGNOS - Dummy JDE Menu for Showcase access only
Bespoke Programs
J55011 Chart of Accounts - Initial menu to COGNOS
JDE Programs
J00CMD Display File Discription
J00CMD Display File Field Description
J00CMD SIGNOFF
Showcase
Access to iSeries data using ODBC data source links
RSM211 - Sales Order Entry
JOAX0130C Download Order to Weighbridge
ESI
RSM211 - Sales Order Entry
JOAX0130C Download Order to Weighbridge
MicroGen
RSM42S7 - RJB Sales and Marketing Batch Stream 5
J560030 MICROGEN Invoice Transmission
Job Cost (RF51D)
Plant Maintenance (RAM)
Enter/Maintain Equipment Information
UKC Bespoke Programs
P56115 Non Op Plant Trnsf by Unit No
P561201 Equipment Register Master Information
P5612106 Asset Split
P5612115 Sheet/Location/Asset/Equip Status Transfer Process
P561218 PPM - Technical Data - Electrical
P561219 PPM - Technical Data - Mechanical
P5612212 Parent Asset History Inquiry (For PI Components)
P5612213 Equipment Status History Inquiry (For PI Components)
P5612215 Location History Inquiry (For PI Components)
P561390 Parts List Display
Maintenance Schedule
UKC Bespoke Programs
P561202 Attach Sheet Numbers to PI Master Details
P561203 Attach Frequencies to Sheet Numbers (PI Master Det
P561204 PI Equipment Register for Asset
P561205 Create ME4 print file F561205
P561206 Print ME4 document - week before scheduled date
P561208 Print Outstanding Periodic exam
P561208A Print Outstanding Periodic exam
P561209 Print Incomplete daily/weekly summary
P561210 Sheet Number History Inquiry
P5612116 Check List / Exam Inquiry
P561212 ME1 Checklist Amendments/Inquiry
P561213 ME1 Maintenance
P561214 PPM Partial Completion
P561215 PPM Exam History Enquiry
P561216 Print ME4 document FORMAT MN2
P561217 Print EC1 weekly completions summary
P5612171 Print EC1 weekly completions summary
P561222 Print Periodic exams in final week of tolerance v1
P561222L Print Periodic exams in final week of tolerance v2
P5612222 Print Periodic exams in final week of tolerance v2
P561223 ME1 Print-landscape
P561224 PPM Sheet Completion
P561226 Show Sheet Schedule - PPM
P561228 PPM Missed Exam Calculator
P561229 Checklist Selection
P561230 PPM Item Transfer
P561231 PPM Outstanding Exam Completion
P561235 Work Instruction Sheet
P561236 Control Print
P561238 Issues in Advance Report
P561239 Print Plant Items on ME4 Sheet
P561240 PI History Report
P561242 PPM Outstanding Exam Completion
P561246 Component Change Forecast Report
P561248 Work Sheet Exam Schedules for the Next 27 Weeks
P561250 Planned Maintenance Inquiry
P561251 Planned Maintenance Report
P561252 Print EC1 weekly completions summary - By Engineer
P5612807 Update PM Schedule Status & Create Works Orders
P5612808 Update PM Schedule Status & Create Works Orders
P5612808A Update PM Schedule Status & Create Works Orders
P56191 Generic Rate/Message Records
P561911 Generic Rate/Message Records
P56192 Generic Message Detail
P561921 Generic Message Detail - Partial Completions
Enter/Maintain Work Orders
Modified JDE Programs
P48011 Equipment Work Order Entry
P48201 Scheduling Workbench
P48092 Work Orders - User Defined Code Entry
P13220 Equipment Based Scheduling Workbench
UKC Bespoke Programs
P64011 Equipment Work Order Entry (CUSTOM)
P56012 Equipment Work Order Entry (CUSTOM)
P561220 Reset W.O. status for deferred items
P564805 PI Number Entry from WO Program Video
P564815 Electrical Test Data Input Called From PI Entry Wi
P564817 Electrical Test Data Backlog Management
Enter/Maintain Parts List Information
Modified JDE Programs
P1311 Work Order Parts List Revisions
P31111 Work Order Inventory Issues
Ad Hoc Programs
UKC Bespoke Programs
P56028 Create/Maintain Date /Week no x-ref file F56028
P561260 Purge F561205/F4801 Files
Reports
UKC Bespoke Reports
P561300 Plant Profitability Report
P561311 Weekly Spares and Weekly Spares Exception Screen
P561330 Plant utilisation request parameters
P561331 Plant utilisation report
P5613600 Location Tracking Report For Plant Items
P561370 Oil & Grease Anal request parameters
P561371 Oil & Grease Anal report
P561380 Deep Mine Actual Cost request parameters
P56460 WP, REQ, PO Extract for Progress Report
P564800 PI Number History
P564802 PI Number - Outstanding Defects Report
P564804 ME6 - Defect Reporting
P564808 Prompt for Shift report
P564809 Prompt for Shift report
P564811 S&C: %age Defect Completion Thruput
P564822 RCM - Outstanding Issues Report
Work Order Enquiries
Modified JDE Programs
P48220 Parent Work Order Inquiry
P48497 Work Order Cost Summary
P48498 Work Order Cost Detail
P13RHS Work Order Summary Window
UKC Bespoke programs
P56IS PPM Plant Item Search Window
P564801 PI Number - Return Associated Works Orders
P564813 PPM: Works Order Status Inquiry
Enter Hours
Modified JDE Programs
P062901 Generate Timecard Journals
UKC Bespoke Programs
P561121 Time Entry by Individual-Labor Billings
P641121 Equipment Time Entry
P5612110 Time Entry to Meter Readings Extract
P561225 Time Entry Memo Field Data