ReleaseUpdateDB60_Bank.updateExchAdjPL Upgrade Script [AX 2012]
Updated: June 19, 2012
Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2
|
Class |
ReleaseUpdateDB60_Bank |
|
Method |
updateExchAdjPL |
|
Description |
Upgrades script for the exchange adjustment feature for PL. |
The upgrade script is necessary due to the following changes in the data model from previous version. 1. The country specific fields have been moved from the BankAccounTrans table to the BankAccountTransPL table. 2. The country specific fields have been moved from the ledgerJournalTrans table to the LedgerJournalTrans_RCash table.
|
From Table: LedgerJournalTrans |
To Table: LedgerJournalTrans_Rcash |
|---|---|
|
DEL_ExcludeExchAdj_PL |
ExcludeExchAdj_PL |
|
From Table: BankAccountTrans |
To Table: BankAccountTransPL |
|---|---|
|
DEL_ExchAdjustment_PL |
ExchAdjustment_PL |
|
DEL_ExcludeExchAdj_PL |
ExcludeExchAdj_PL |
|
DEL_SettleAmountCur_PL |
SettleAmountCur_PL |
|
DEL_SettleAmountMST_PL |
SettleAmountMST_PL |
Announcements: To see known issues and recent fixes, use Issue search in Microsoft Dynamics Lifecycle Services (LCS).