BankExchAdjPL.postTrans Method [AX 2012]
Posts the exchange adjustment transaction for the bank account.
protected void postTrans(
CompanyBankAccountId _accountId,
CurrencyCode _currencyCode,
AmountMSTExchAdjustment _exchAmount,
DimensionDefault _dimension,
LedgerDimensionDefaultAccount _ledgerAccount)
Run On
ServerParameters
- _accountId
- Type: CompanyBankAccountId Extended Data Type
The bank account for the exchange adjustment.
- _currencyCode
- Type: CurrencyCode Extended Data Type
The currency code for the exchange adjustment.
- _exchAmount
- Type: AmountMSTExchAdjustment Extended Data Type
The calculated exchange amount.
- _dimension
- Type: DimensionDefault Extended Data Type
The default dimension for the bank transaction.
- _ledgerAccount
- Type: LedgerDimensionDefaultAccount Extended Data Type
The ledger account from the ledger journal.
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