NAMEENFA RECALC BALANCES
DESCRIPTIONDollar balances (by Station, Fund, SGL, and month) are maintained in theFAP BALANCES file and printed on the Voucher Summary report. This optioncan be used to recalculate the balances if they appear incorrect. The net $ activity for a specified month will be computed from theindividual FAP code sheets. The results are then compared to the valuesmaintined in the FAP BALANCES file. If there are any descrepancies, therecalculated values can be used to update the FAP BALANCES file.
CREATORPOSTMASTER
LOCKENFACS
MENU TEXTRecalculate FAP Balances
PACKAGEENGINEERING
ROUTINERECALC^ENFABAL
TYPErun routine
UPPERCASE MENU TEXTRECALCULATE FAP BALANCES