ReleaseUpdateTransformDB50_Bank.bankStatementReconciledValidate Upgrade Script [AX 2012]
Updated: September 25, 2012
Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2
|
Class |
ReleaseUpdateTransformDB50_Bank |
|
Method |
bankStatementReconciledValidate |
|
Description |
Validate whether all the BankAccountStatement and BankStatementTrans_CN are reconciled when parameter ExtendedBankReconciliation_CN is enabled. |
|
Script Type |
Upgrade readiness scripts |
|
Ax Version |
5.0 |
|
Affected Modules |
|---|
|
Bank |
|
Validation Issues | |
|---|---|
|
Validation Issues Description |
date whether all the BankAccountStatement and BankStatementTrans_CN are reconciled when parameter ExtendedBankReconciliation_CN is enabled. |
|
Checked Conditions |
bankAccountStatement.ReconcileDate = 1900/1/1. |
|
Mitigation/How-to-fix |
reconcile the bank account statements. |
Announcements: To see known issues and recent fixes, use Issue search in Microsoft Dynamics Lifecycle Services (LCS).