Interface | Description |
---|---|
AuxiliaryVoucherDocumentRuleConstants |
Holds constants for
business rules. |
CashReceiptDocumentRuleConstants |
Holds constants for cash receipts document.
|
DistributionOfIncomeAndExpenseDocumentRuleConstants |
Distribution of Income and Expense Document specific APC constants
|
GeneralErrorCorrectionDocumentRuleConstants |
Holds constants for
business rules. |
IndirectCostAdjustmentDocumentRuleConstants |
Holds constants for
business rules. |
TransferOfFundsDocumentRuleConstants |
Defines constants for the transfer of funds document.
|
Class | Description |
---|---|
AccountingLineAmountNonZeroValidation |
Validates that the amount on a given accounting line is not zero
|
AdvanceDepositDocumentPreRules |
Performs warning checks and prompts for AdvanceDeposit.
|
AdvanceDepositDocumentRuleUtil |
Common Advance Deposit Document rule utilities.
|
AdvanceDepositDocumentTotalValidation |
Validation for the Advance Deposit document that checks the total amount of the document.
|
AdvanceDepositIfAnyElectronicFundAccountingLineAllElectronicFundValidation |
Validates that if the given advance deposit document has any electronic fund accounting lines,
that all accounting lines on the document go to the electronic funds account
|
AdvanceDepositMinimumAdvanceDepositValidation |
This class...
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AdvanceDepositValidation |
This class...
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AuxiliaryVoucherAccountingLineAmountValidation |
The Auxiliary Voucher's customization of the accounting line amount validation.
|
AuxiliaryVoucherAccountingLineObjectSubTypeAndLevelValidation |
Validates the sub object type and object level of an object code entered on an accounting line on an Auxiliary Voucher document.
|
AuxiliaryVoucherAccountingLinesBalanceValidation |
Validation for Auxiliary Voucher, which checks tha tthe accounting lines on the document, with all of
their various credits and debits, balance.
|
AuxiliaryVoucherAccountingPeriodAllowedByParameterValidation |
A validation for the Auxiliary Voucher document, this checks that the given accounting period on
the document is allowed by the associated system paramter.
|
AuxiliaryVoucherAccountingPeriodOpenValidation |
Validates that the accounting period given by the document is currently open
|
AuxiliaryVoucherAccountingPeriodWithinGracePeriodValidation |
Validation for Auxiliary Voucher documents that tests whether the accounting period for the document is within the defined grace period.
|
AuxiliaryVoucherGeneralLedgerPendingEntriesBalanceValdiation |
Validation that checks that the general ledger pending entries associated with an auxiliary voucher
document balance.
|
AuxiliaryVoucherRecodeAccountingPeriodValidation |
Validation that checks whether the accounting period of an AuxiliaryVoucher document is allowable,
but only for recode-type AVs.
|
AuxiliaryVoucherReversalDateValidation |
A validation that checks the reversal date on the AuxiliaryVoucher.
|
AuxiliaryVoucherSingleChartUsedValidation |
Validates that all accounting lines on the document use only one chart among them all.
|
AuxiliaryVoucherSingleSubFundValidation |
Validation for Auxiliary Voucher that checks that all the source accounting lines on the document use
only one sub fund group among them.
|
BillingCapitalObjectValidation |
Validates that an accounting line does not have a capital object object code
|
BudgetAdjustmentAccountingLineAccountHasRecordingLevelValidation |
Verification for BudgetAdjustmentAccountingLine to check that the account has a valid budget recording level.
|
BudgetAdjustmentAccountingLineAccountIncomeStreamValidation |
Validation that checks Budget Adjustment accounting lines to make sure that non-zero adjustments have related income stream accounts.
|
BudgetAdjustmentAccountingLineAmountValidation |
Validation that checks the amounts on budget adjustment document accounting lines.
|
BudgetAdjustmentAccountingLineBaseAmountValidation |
Validates an accounting line on a budget adjustment document whether the base amount on the line can be changed or not
|
BudgetAdjustmentAccountingLineDataDictionaryValidation |
A validation which uses the AccountingLineRuleHelperService to validate the values on an accounting line
|
BudgetAdjustmentAccountingLineMonthlyLinesValidation |
Validation for a budget adjustment accounting line that validates the information in the monthly lines
|
BudgetAdjustmentAccountingLinesRequiredForRoutingValidation |
The Budget Adjustment's variation on the lines required for routing met validation - here, we just need
to make sure that the total number of accounting lines on the document is greater than 0.
|
BudgetAdjustmentAccountingLineTotalsUnchangedValidation |
The Budget Adjustment's variation on whether accounting lines have been unchanged or not
|
BudgetAdjustmentDocumentBalancedValidation |
A validation which checks if a Budget Adjustment document is balanced before heading to routing
|
BudgetAdjustmentDocumentPreRules |
Checks warnings and prompt conditions for ba document.
|
BudgetAdjustmentDocumentRuleConstants |
Holds constants for budget adjustments
|
BudgetAdjustmentFundGroupAdjustmentRestrictionValidation |
Validation for Budget Adjustment document that checks that the fund groups are correctly adjusted.
|
CapitalAccountingLinesObjectSubtypeValidations |
validate the capital accounting lines object subtypes
|
CapitalAccountingLinesValidations |
validate the capital accounting lines associated with the accounting document for validation
|
CapitalAssetInformationValidation |
validate the capital asset information associated with the accounting document for validation
|
CashDrawerMaintenanceDocumentRule |
Validations for the Cash Drawer Maintenance Document
|
CashManagementDocumentPreRules |
Performs warning checks and prompts for CashManagement.
|
CashManagementDocumentRule |
Business rule(s) applicable to Cash Management Document.
|
CashReceiptAccountAndObjectCodeValidation |
Validation that checks the sales tax account/object code combination on accounting lines of the cash receipt
|
CashReceiptCashDrawerOpenValidation |
Validation for the cash receipt document that verifies that the cash drawer is open at approval.
|
CashReceiptCashManagerValidation | |
CashReceiptCashTotalsValidation |
Validation that checks all of the various cash totals on a cash receipt document.
|
CashReceiptCheckAmountNotZeroValidation |
Validation that checks that a check's amount is not zero.
|
CashReceiptCheckAmountPositiveValidation |
Validation that makes sure a check amount is positive.
|
CashReceiptFamilyAccountingLineAmountValidation |
Validation that validates the amounts on accounting lines for the Cash Receipt family of documents.
|
CashReceiptFamilyAccountingLineTotalValidation |
Validation for the Cash Receipt family of documents which validates the sum amount of all
accounting lines on the document.
|
CashReceiptFamilyDocumentTotalValidation |
Validation for the Cash Receipt family of documents that checks the total amount of the document.
|
CreditCardReceiptCashTotalsValidation |
This class...
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CreditCardReceiptDocumentRuleConstants |
Contains Credit Card Receipt rule related constants
|
CreditCardReceiptDocumentRuleUtil |
Common Credit Card Receipt Document rule utilities.
|
CreditCardReceiptDocumentTotalValidation |
Validation which tests that the amount in credit card lines equals the amount in accounting lines
on the document.
|
CreditCardReceiptMinimumCreditCardReceiptValidation |
This class...
|
CreditCardReceiptValidation |
This class...
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CreditCardVendorRule |
This class represents business rules for the credit card vendor maintenance document
|
DisbursementVoucherAccountingLineAccessibleValidation | |
DisbursementVoucherAccountingLineAmountPositiveValidation | |
DisbursementVoucherAccountingLineCountValidation | |
DisbursementVoucherAccountingLineTotalsValidation | |
DisbursementVoucherAccountingLineValidation | |
DisbursementVoucherBankCodeValidation | |
DisbursementVoucherCampusSpecialHandlingValidation |
Validates that if a disbursement voucher had special handling turned off at the campus node, an extra note explaining that change has been added.
|
DisbursementVoucherDocumentAmountValidation | |
DisbursementVoucherDocumentFieldValidation | |
DisbursementVoucherDocumentLocationValidation | |
DisbursementVoucherDocumentPreRules |
Checks warnings and prompt conditions for dv document.
|
DisbursementVoucherEmployeeInformationValidation | |
DisbursementVoucherForeignDraftValidation | |
DisbursementVoucherNonEmployeeTravelCompanyValidation | |
DisbursementVoucherNonEmployeeTravelValidation | |
DisbursementVoucherNonResidentAlienInformationValidation | |
DisbursementVoucherPayeeAddressValidation | |
DisbursementVoucherPayeeInitiatorValidation | |
DisbursementVoucherPayeeStateCodeValidation | |
DisbursementVoucherPaymentReasonValidation | |
DisbursementVoucherPrePaidTravelValidation | |
DisbursementVoucherVendorInformationValidation | |
DisbursementVoucherWireTransferValidation | |
GeneralErrorCorrectionObjectTypeValidation |
Validates that an accounting line does not have a capital object object code
|
GeneralErrorCorrectionRequiredReferenceFieldValidation |
Validates that an accounting line does not have a capital object object code
|
IndirectCostAdjustmentAccountValidation |
This class...
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IndirectCostAdjustmentChartOfAccountsValidation | |
InternalBillingDocumentRuleConstants |
Holds constants for
business rules. |
JournalVoucherAccountingLineAmountValidation |
The Journal Voucher's version of the accounting line amount validation
|
JournalVoucherAccountingLineEncumbranceReferenceValidation |
Validation that if the Journal Voucher is using an encumbrance balance type, reference fields are included on each accounting line
|
JournalVoucherAccountingLineObjectTypeValueAllowedValidation |
The Journal Voucher's version of the accounting line Object Type validation.
|
JournalVoucherAccountingPeriodValidation |
Validation of the accounting period on a Journal Voucher document.
|
JournalVoucherBalanceTypeValidation |
Validation for the balance type on a Journal Voucher
|
JournalVoucherObjectTypeValidation |
Validation which checks at the object type code on a Journal Voucher's accounting line is valid
|
JournalVoucherReversalDateValidation |
A validation of the reversal date on a Journal Voucher document
|
NonCheckDisbursementBankValidation | |
NonCheckDisbursementDocumentPreRules |
Performs warning checks and prompts for NonCheckDisbursement.
|
NonCheckDisbursementRequiredReferenceFieldValidation |
Validates that an accounting line has a reference number
|
PreEncumbranceDocumentRuleConstants |
Holds constants for
business rules. |
PreEncumbranceRequiredAccountingLinesCountValidation |
Validates that an accounting line does not have a capital object object code
|
PreEncumbranceRequiredReferenceFieldValidation | |
PreEncumbranceReversalDateValidation |
Validates that an accounting line does not have a capital object object code
|
ProcurementCardAccountAccessibilityValidation |
Validates that an accounting line does not have a capital object object code
|
ProcurementCardAccountNumberValidation |
Validates that an accounting line does not have a capital object object code
|
ProcurementCardBalanceValidation |
Validates that an accounting line does not have a capital object object code
|
ProcurementCardDefaultRule |
This class represents business rules for the procurement cardholder maintenance document
|
ProcurementCardDocumentRuleConstants |
Holds constants for
business rules. |
ProcurementCardErrorPathUtil |
This class...
|
ProcurementCardFixErrorPathValidation |
Validates that an accounting line does not have a capital object object code
|
ProcurementCardObjectCodeValidation |
Validates that an accounting line does not have a capital object object code
|
ServiceBillingAccountingLineAccessibleValidation |
A validation that checks whether the given accounting line is accessible to the given user or not
|
TransferOfFundsFundGroupsBalancedValidation |
Validation for Transfer of Funds document that tests if the fund groups represented by a given document are in balance.
|
TransferOfFundsObjectCodeValueAllowedValidation |
A validation for the transfer of funds document that makes sure that an object code in any accounting line represents either income or expense.
|
TransferOfFundsObjectSubTypeValueAllowedValidation |
Override of standard accounting line value allowed definition to make sure that any object sub type on a transfer of funds is either mandatory transfer or non-mandatory transfer.
|
TransferOfFundsTransferTotalsBalancedValidation |
Transfer of Funds document validation which checks that mandatory and non-mandatory transfer totals are in balance.
|
ValidateAllCapitalAccountingLinesProcessed |
validate the capital accounting lines associated with the accounting document for validation
|
ValidateCapitalAccountingLinesTotalAmountMatch |
validate the capital accounting lines associated with the accounting document for validation
|
ValidateCapitalAccountingLineTotalAmountToCapitalAssetTotalAmountMatch |
validate the capital accounting lines associated with the capital assets totals match validation
|
ValidateCapitalAssetsExistForCapitalAccountingLinesProcessed |
validate the capital accounting lines associated with the accounting document for validation
|
Enum | Description |
---|---|
ServiceBillingAccountingLineAccessibleValidation.AccountingLineAction |
Indicates what is being done to an accounting line.
|
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