Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2
Class |
ReleaseUpdateDB60_Bank |
Method |
updateBankChequeSourceAndBankAmount |
Description |
Populates the source, reversal source, and bank currency amount fields in the BankChequeTable table. |
Affected Modules and Tables
Affected Modules |
|---|
Bank |
Affected Tables |
|---|
BANKCHEQUETABLE |
LEDGERJOURNALTRANS |
BANKACCOUNTTRANS |
LEDGERJOURNALTABLE |