Custom Code [U0722]
Contents
Introduction
The Custom Code update [U0722] is
used to establish and rename valid values for customizable codes. Users may
decide to customize the use of LeasePak's codes to suit their own business. Users can customize previously "hardcoded"
non-customizable codes with this update.
The Customize LeasePak Codes enhancement
implemented in this release changes the definition of the two code types that
exist within the system:
- Informational
Codes in this category
are informational only. While they may be useful for reporting, their values
do not affect the inner workings of LeasePak. Code Values and Code Descriptions
may be added and/or changed for Informational code types only. These codes
were customizable prior to the v4.6a release.
- Functional
Codes in this category are integral to the inner workings of LeasePak.
The Code Description value for these codes may be changed from their original
description and customized to your company's needs. LeasePak's security settings
will not allow Code Categories and/or Code Values to be added or deleted
from the system. These codes were maintained by NetSol prior to the v4.6a release.
Examples of functional codes are ACCRUAL METHOD, PAYOFF METHOD, etc.
NetSol strongly recommends carrying out the adding, changing or deleting operations for custom codes during off-hours only to avoid any inconvenience in working.
Add
Custom Code Value and Description
Although LeasePak imposes no limit or restriction on the number of custom codes that users may add; NetSol, however, recommends that you should not add more than 250 categories of custom codes in the system. Doing so may result in LeasePak to behave abnormally.
Code Category

To add a Custom Code Value and Description
to an Informational code type, select a Code Category from the drop-down help
menu. Select the Add button to enter the code value and description that applies
to the specific code category selected.
Code Value, Code Description
- CODE VALUE
Enter the new code value for the Information type code. For fields other than User-Defined Fields and Tables, the maximum code value size is 4 characters.
Code values must not contain spaces.
User-Defined Fields and Tables users: Begining in LeasePak 6.6a, you can create code value sizes for user-defined fields up to 36 characters and for user-defined tables up to 12 characters, but you must first define the new sizes in your DBMS directly using SQL. Contact your NetSol representative for assisstance.
- CODE DESCRIPTION
Enter a description of the new code. For fields other than User-Defined Fields and Tables, the maximum code description size is 20 characters. For User-Defined Fields and Tables, the maximum code description size is 60 characters.
Informational Type Custom Code Category
Listing
Note: The list
below is an example of code values that are Information type codes.
- ACCOUNT CODE (ACC)
This
code indicates the application/lease account code. Values can be entered on Application
Tab 3 [U0801], and the Application
Rate Plan update [U0816].
- ACCOUNT
PAYMENT TERMS (TRD.TRM)
This
code indicates the terms of the applicant's account payments. Values can be entered
through the Application update [U0801].
- ACCOUNT
STATUS (ACC.STAT)
This
code indicates the account status for the bank reference. It is entered through
the Application update [U0801].
- ACCOUNT
TYPE (ACCT)
This code
indicates the account type of the applicant. It is entered through the Application
update [U0801].
- ACTIVITY STATUS (STAT)
This
code indicates the status of the client. Client activity status codes are processed
and grouped according to the first letter of the code. All codes must begin with
one of the following letters:
- Axxx
Active
- Ixxx
Inactive
- Pxxx
Pending
- Txxx
Terminated
- Rxxx
Rejected
where
"xxx" is the user defined code. This code may be entered through the
Vendor update [U0201], Master Financial update [U0202], Asset update [U0210],
Investor update [U0216], Broker update [U0219], and Lender update [U0220].
- ADDL
INCOME SOURCE (ADD.INC.SR)
This
code indicates sources of additional income that have a bearing on the credit
of the lessee or guarantor. It is entered through the Lessee update [U0203], Guarantor
update [U0217], and Application update [U0801].
- CLASSIFICATION
(CLASS)
This code indicates
the type of the leased asset. Values for all vehicle assets begin with the letter
V, and values for all non-vehicle assets begin with E. This code is entered through
the Book Lease option of the New Lease update [U0101], Asset update [U0210], Split
Asset update [U0114], and the Assets option of the Application update [U0801].
- COLLECTION
STATUS (COL.STAT)
This
code indicates the collection status of the lessee. It is entered through the
Collection update [U1101]. The Collections module is a separately licensed module
of LeasePak.
- COMPANY
CODE (COM.COMCD and COM.GRP.CD)
These
fields allow further identification of the Company. They are entered through the
Company update [U0208].
- COST
CENTER (REG.CCTR)
This
field allows further identification of the Region. It is entered through the Region
update [U0207}.
- ENTITY
CODE (ENTITY)
This code
is used primarily for municipal leases and indicates the department or agency
within the municipality using the leased assets. It may be used for other purposes.
This code is entered through the Book Lease option of the New Lease update [U0101],
Demographic update [U0204], and Application update [U0801].
- IN-HOUSE
RATING (INHS)
This code
indicates the lessee credit rating as assigned by the lessor. It is entered through
the Book Lease option of the New Lease update [U0101], the Master Financial update
[U0202], and the Demographic update [U0204].
- INSURANCE
CARRIER (INS.CAR)
This
code indicates insurance carriers issuing policies on leased assets. It is entered
through the Book Lease option of the New Lease update [U0101], Demographic update
[U0204], and Application update [U0801].
- INSURANCE
COVERAGE (INS.COV)
This
code indicates the type of coverage provided by the insurance policy. It is entered
through the Application update [U0801].
- INSURANCE
RISK FEE (IRF)
This code indicates the Insurance Risk Fee calculation that will be used
to automatically bill the Lessee upon expiration of their insurance policy.
It is entered through the Application Tracking Update [U0801], Book Lease
[U0101] and Rebook [U0116]. The rate entered is maintained manually by the
user. The default value, if no rate amount is entered, is '0'.
- LEASE
SOURCE (DIR)
This code
indicates the source or origination of the lease / application (i.e., direct,
indirect, broker, etc.). It is entered through the Book Lease option of the New
Lease update [U0101], the Master Financial update [U0202], and the Application
update [U0801].
- LEASE
TERMINATION (OPTN)
This
code indicates the lease termination options available for the lessee. It is entered
through the Maturing Lease update [U1401] The Mature Lease Tracking module is a separately
licensed module of LeasePak.
- LETTER
VERSION (LT.VERSION)
This
code is used if the Application Tracking module has been purchased. It is entered on Application
[U0801] screen 2.
- MARITAL
STATUS (MARITAL)
This
code indicates the marital status of the lessee. It is entered through the Lessee
update [U0203] and the Application update [U0801].
- MARKET CODE (MKT)
This code indicates
the Market Code which is used to determine automatic rate plans. It is entered
through the Application update [U0801],
and the Application Rate Plan update [U0816].
- NOTEBOOK REASON CODE (NB.RSN)
This code indicates the Reason Code for which the note is being entered in
the Alternate Lease Summary Notebook in the
Collection [U1101] and Customer
Service [U1601] updates.
- NOTE
PAYABLE TYPE (NTYP)
This
code indicates the Note Payable Type. It is entered through the Lender update
[U0220].
- NOTE
TYPE (NOTE.TYPE)
This
code indicates the Note Type. Notes added through the Notebook option are assigned
a type from among the valid codes established here. Default note types are entered
through the Security update [U0706], Application Custom General update [U0821],
and the Collection Custom General update [U1121]. The Application Tracking and Collections
modules are separately licensed modules of LeasePak.
- PAYMENT
RECORD (PMT.HIS)
This
code indicated the payment history record of the applicant. It is entered through
the Application update [U0801].
- PAYOFF
LEASE RATING (RAT)
This
code indicates the rating of the lessee at the time of the lease payoff or termination.
It is entered during the Payoff update [U0103].
- PAYOFF
SOURCE (SRC)
This code
indicates the source of the payoff or termination funds (e.g., customer check,
insurance check, etc.). It is entered during the Payoff update [U0103].
- Payoff Activity Code (PAYOFF.ACT)
LeasePak uses these codes in generating notes at the time of Payoff [U0103] or Batch Payoff [U0129]. The codes mirror the
lease activity Status Codes. Examples are listed here:
- AA01 - Active Prior Chg Off
- AA02 - Active Prior Skip
- AACQ - Active Acquired
- AASM - Active Assumed
- HHLD - N-Accrl Hold
- HREP - N-Accrl Inv Repo
- NP01 - Chg Off:foreclosure
- NVOL - Suspended Vol Repo
- PPT EXEMPT CODE
Asset level. Informational only. Provides additional information on why the asset is exempt from Personal Property Tax
(if applicable). Possible default values are:
- NONE - Not PPT Tax exempt (or Lessor is not using the code field)
- NOLR - NOT EXEMPT LES PAY
- NABT - NOT EXEMPT ABATE
- N3PT - NOT EXEMPT 3RD PARTY
- NINV - NOT EXEMPT INVENTORY
- NREP - NOT EXEMPT REPO/INV
- ELES - EXEMPT LES PAY
- EL3P - EXEMPT LES 3RD PTY
- ELAB - EXEMPT LES ABATE
- EXPT - EXEMPT FROM PPT
- EXLO - EXEMPT LOAN
- EXLP - EXEMPT LEASE/PURCH
- EXLV - EXEMPT LEV LEASE
- EXSL - EXEMPT SOLD
- EXMV - EXEMPT MOVED
You can add additional values using the code category PPT.EXEMPT.
- PRODUCT TYPE CODE (PRD)
This indicates the type
of product that is associated with the lease. It can be entered during the booking
of a lease [U0101], Master Financial [U0202], Applications [U0801] Tab 5,
and Transfer Price Rate [U0723].
- PROPERTY
TAX DESCRIPTION (PPT.CD)
This
indicates the type of property tax being assessed. It can be entered on Group
Property Tax Assessment [U0106].
- PURCHASE
OPT OWNER (PUR.OPT.OW)
This
code indicates the purchase option owner for the application. It is entered through
the Master Financial update [U0202], Application update [U0801],
and Application Rate Plan [U0816].
- RATING
(xxx.BOND, where 'xxx' stands for the rating service)
This
code indicates the possible rating categories given by each rating service and
is used in conjunction with the RATING SERVICE (RAT.SRVC) code. Each service has
its own set of rating codes. All these sets together construct the RATING code
category. Each individual set of codes is accessed by combining the RATING SERVICE
code and ".BOND". For example, to add new codes for Dunn and Bradstreet
with a RATING SERVICE code of D&B, enter "D&B.BOND" as the code
category. This code is entered during the booking of a lease [U0101] and the Demographic
update [U0204].
- RATING
SERVICE (RAT.SRVC)
This
code indicates the rating service issuing the lessee's credit rating and is used
in conjunction with the RATING code. After adding the name of a RATING SERVICE,
the rating codes used by the service should also be added. This is accomplished
by using the Add a Custom Code option of this update, entering a CODE CATEGORY
of xxx.BOND (where xxx = the rating service), and entering the rating(s) to be
used by the rating service. The RATING SERVICE code is entered during the booking
of a lease [U0101], and the Demographic update [U0204].
- RECOURSE TYPE (REC)
This
code indicated the recourse type for the vendor. It is entered through the Vendor
update [U0201].
- REFERENCE
STATUS (REF.STAT)
This
code indicates the reference status for the employer. It is entered through the
Lessee update [U0203], Guarantor update [U0217], and the Application update [U0801].
- REMIT
TYPE (REMIT)
This code
indicates the remittance type for the vendor or broker. It is entered through
the Vendor update [U0201] and the Broker update [U0219].
- REPO REASON (REPO.RSN)
This
code indicates the reason for repossession of an asset when a Repo Request is
submitted from the Collection [U1101] update.
- REPO
INSTRUCTIONS (REPO.INSTR)
This
code indicates instructions for repossession when a Repo Request is submitted
from the Collection [U1101] update.
- REQUIRED
CORRECTION (CORR)
This
code indicates the type of correction required on a certificate of ownership.
It is entered through the Collateral update [U1201]. The Collateral module is
a separately licensed module of LeasePak.
- SALUTATION (SAL)
This
code indicates the salutation name to be used in form letters. It is entered through
the Lessee update [U0203] and Application update [U0801].
- STANDARD INDUSTRY (SIC)
This code indicates the
standard industry category of the lessee. It is entered through the Book Lease
option of the New Lease update [U0101], Master Financial [U0202], Lessee update
[U0203], and the Application update [U0801].
- STAX EXEMPT AST CODE (STX.EX.AST)
Asset level. Informational only. Provides additional information on why the asset is exempt from Sales/Use Tax
(if applicable). Possible default values are:
- NONE - Not Sales/Use Tax exempt (or Lessor is not using the code field)
- EAUP - Sales/Use Tax paid up front on purchase price
- EAUG - Sales/Use Tax paid up front on gross receipts
- EALO - Asset is attached to a loan
- EA3P - Third party is responsible for Sales/Use Tax
You can add additional values using the code category STX.EX.AST.
- STAX EXEMPT LSE CODE (STX.EX.LSE)
Lessee/lease level. Informational only. Provides additional information on why the application is exempt from
Sales/Use Tax (if applicable). Possible default values are:
- NONE - Not Sales/Use Tax exempt (or Lessor is not using the code field)
- ELEC - Lessee has an exemption certificate
- ELDP - Lessee has a direct pay certificate
- NONE - Lessee/lease/application is not exempt (or Lessor is not using the code)
You can add additional values using the code category STX.EX.LSE.
- SUSPENSE ITEM TYPE
This code indicates the type of suspense for a lease or IBL. Default available values are:
- PAYO - Payoff
- PAYD - Paydown
- TYPE OF
BUSINESS (BUS.TYP)
This
code indicates the type of business of the lessee. It is entered through the Lessee
update [U0203] and the Application update [U0801].
- USER DEFINED
FIELDS/TABLE CODES (UD__xxx__xxx)
This
code is used in conjunction with the User Defined Fields/Tables module, a separately
licensed module of LeasePak. The purpose of this code is determined by how the
user defines the field or table to which the code corresponds. There are 36 fields
and 12 table columns for each of the following:
- Lease
applications
- Leases
- Assets
- Customers
- Lessees
- Vendors
If the CODE CHECK option for a particular
user defined field or table column is set to Y in the User Defined Fields/Table
option of the Portfolio update [U0212], a check for a valid code is done when
the user defined information is entered. Code categories for user defined fields
and tables are:
- UD__APP__Fxx
For lease application user
defined fields, where xx is a number from 01 to 36 corresponding to the number
of the field on the User Defined Fields/Table option - Application Fields of the
Portfolio update [U0212]. These fields are entered through the Application update
[U0801][XU].
- UD__APP__Txx
- For
lease application user defined table columns, where xx is a number from 01 to
12 corresponding to the number of the column heading on the User Defined Fields/Table
option - Application Table of the Portfolio update [U0212]. These fields are entered
through the Application update [U0801][XU].
- UD__LSE__Fxx
For lease level user defined
fields, where xx is a number from 01 to 36 corresponding to the number of the
field on the User Defined Fields/Table option - Lease Fields of the Portfolio
update [U0212]. These fields are entered through the Master Financial update [U0202].
- UD__LSE__Txx
For lease level user defined
table columns, where xx is a number from 01 to 12 corresponding to the number
of the column heading on the User Defined Fields/Table option - Lease Table of
the Portfolio update [U0212]. These fields are entered through the Master Financial
update [U0202].
- UD__ASS__Fxx
For asset level user defined
fields, where xx is a number from 01 to 36 corresponding to the number of the
field on the User Defined Fields/ Table option - Asset Fields of the Portfolio
update [U0212]. These fields are entered through the Asset update [U0210] or the
Asset Selection option of the Application update [U0801].
- UD__ASS__Txx
For
asset level user defined table columns, where xx is a number from 01 to 12 corresponding
to the number of the column heading on the User Defined Fields/Table option -
Asset Table of the Portfolio update [U0212]. These fields are entered through
the Asset update [U0210] or the Asset Selection option of the Application update
[U0801].
- UD__CUS__Fxx
For customer level user
defined fields, where xx is a number from 01 to 36 corresponding to the number
of the field on the User Defined Fields/Table option - Customer Fields of the
Portfolio update [U0212]. These fields are entered through the Customer update
[U0205] or the User Defined Fields/Table option of the Application update [U0801].
- UD__CUs__Txx
For customer level user
defined table columns, where xx is a number from 01 to 12 corresponding to the
number of the column heading on the User Defined Fields/Table option - Customer
Table of the Portfolio update [U0212]. These fields are entered through the Customer
update [U0205] or the User Defined Fields/Table option of the Application update
[U0801][XU].
- UD__LES__Fxx
For lessee level user defined
fields, where xx is a number from 01 to 36 corresponding to the number of the
field on the User Defined Fields/Table option - Lessee Fields of the Portfolio
update [U0212]. These fields are entered through the Lessee update [U0203] or
the User Defined Fields/Table option of the Application update [U0801][XU].
- UD__LES__Txx
For
lessee level user defined table columns, where xx is a number from 01 to 12 corresponding
to the number of the column heading on the User Defined Fields/Table option -
Lessee Table of the Portfolio update [U0212]. These fields are entered through
the Lessee update [U0203] or the User Defined Fields/Table option of the Application
update [U0801][XU].
- UD__VND__Fxx
For vendor user defined
fields, where xx is a number from 01 to 36 corresponding to the number of the
field on the User Defined Fields/ Table option - Vendor Fields of the Portfolio
update [U0212]. These fields are entered through the Vendor update [U0201].
- UD__VND__Txx
For
vendor user defined table columns, where xx is a number from 01 to 12 corresponding
to the number of the column heading on the User Defined Fields/Table option -
Vendor Table of the Portfolio update [U0212]. These fields are entered through
the Vendor update [U0201].
- VENDOR TYPE (VEND.TYPE)
This code indicates
the type of vendor. This code may be entered through the Vendor update [U0201].
- ASSESSMENT TAX CLASS (ASM.TAXCLS)
This code indicates assessment taxibility of an asset. This code works in conjunction with U0725 Sales Tax on Assessment and defines the taxability of assessments.
Change
Custom Code
This screen is used to change the
code category and/or the code value of an Informational or Functional code type.
- CODE
CATEGORY
Select the code category
that is to be changed. Use the Help button for a list of valid code categories.
- CODE VALUE
Select the code value
to be changed. Select the Change option. A code value must be selected prior
to selecting the Change option.
The codes category and description
is displayed. LeasePak's security settings only allows the Code Description
to be customized and changed for both code types.
- CODE
DESCRIPTION
Change the
description if desired.
Delete
Custom Code
This screen is used to select the
code value of the Informational type code that is to be deleted from the Custom
Code file. A Code Value must be selected in order to Delete a record. When the
delete button is selected the following message appears:

The
above message is displayed to either confirm or cancel the deletion.
The CODE CATEGORY to be deleted
should not be used anywhere, on any file. If it is, the code category should
not be deleted or the information on the files should be changed, whichever
is more practical.
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by NetSol Technologies Inc. All rights reserved.
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