ReleaseUpdateDB60_Cust.createCustInvoiceJour_W Upgrade Script [AX 2012]
Updated: September 25, 2012
Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2
|
Class |
ReleaseUpdateDB60_Cust |
|
Method |
createCustInvoiceJour_W |
|
Description |
Migrates country specific fields from <c>CustInvoiceJour</c> table to <c>CustInvoiceJour_W</c> table |
|
From Table: CustInvoiceJour |
To Table: CustInvoiceJour_W |
|---|---|
|
BankAccount_LV |
BankAccount_W |
|
CompanyCurBankAccount_LV |
CompanyCurBankAccount_W |
|
CustBankAccount_LV |
CustBankAccount_LV |
|
CustConsInvoice_JP |
CustConsInvoice_JP |
|
IntrastatAddValue_LV |
IntrastatAddValue_LV |
|
InvoiceRegister_LT |
InvoiceRegister_W |
|
InvoiceStatus_LT |
InvoiceStatus_W |
|
NumberSequenceCode_LT |
NumberSequenceCode_W |
|
PrintBlankDate_LT |
PrintBlankDate_W |
|
SalesDate_W |
SalesDate_W |
|
SumTaxWithhold_IN |
SumTaxWithhold_IN |
|
TaxReimbursementDoc_HU |
TaxReimbursementDoc_HU |
|
TaxWithholdAmount_IN |
TaxWithholdAmount_IN |
|
UnitedVATInvoice_LT |
UnitedVATInvoice_LT |
|
VatSettled_HU |
VatSettled_HU |
|
WhoIsAuthor_LT |
WhoIsAuthor_LT |
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