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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 |