Note
Access to this page requires authorization. You can try signing in or changing directories.
Access to this page requires authorization. You can try changing directories.
Updates the BankChequePaymTrans with the recipient company and voucher number based on the foreign voucher and the Transaction Date and Account number from the LedgerJournalTrans.
Syntax
public void updateInterCompanyBankCheque(LedgerJournalTrans _ledgerJournalTrans)
Run On
Server
Parameters
- _ledgerJournalTrans
Type: LedgerJournalTrans Table
The table that contains information to find the correct BankChequePaymTrans record and the values to assign.