CustBalanceDP_CN.insertCustVendBalanceTmp_CN Method [AX 2012]
Inserts records into the CustVendBalanceTmp_CN table.
Syntax
private void insertCustVendBalanceTmp_CN(
MainAccountNum _mainAccount,
AccountName _mainAccountName,
AccountNum _custAccountNum,
DirPartyName _dirPartyName,
AmountMST _openingBalance,
AmountMST _debitBalance,
AmountMST _creditBalance,
String255 _periodCode)
Run On
Server
Parameters
- _mainAccount
Type: MainAccountNum Extended Data Type
The value to assign to the MainAccountNum field of the table.
- _mainAccountName
Type: AccountName Extended Data Type
The value to assign to the MainAccountName field of the table.
- _custAccountNum
Type: AccountNum Extended Data Type
The value to assign to the AccountNum field of the table.
- _dirPartyName
Type: DirPartyName Extended Data Type
The value to assign to the PartyAccountName field of the table.
- _openingBalance
Type: AmountMST Extended Data Type
The value to assign to the OpeningBalance field of the table.
- _debitBalance
Type: AmountMST Extended Data Type
The value to assign to the DebitAmount field of the table.
- _creditBalance
Type: AmountMST Extended Data Type
The value to assign to the CreditAmount field of the table.
- _periodCode
Type: String255 Extended Data Type
The value to assign to the PeriodCode field of the table.