RCashReportJour_Create_PL::calcClosingBalance_HU Method [AX 2012]
Calculates the closing balance on a cash account for a specified date and currency.
server public static AmountCur calcClosingBalance_HU(
RCashAccount _accountNum,
CurrencyCode _currencyCode,
TransDate _transDate)
Run On
ServerParameters
- _accountNum
- Type: RCashAccount Extended Data Type
The cash account for which the closing balance has to be calculated.
- _currencyCode
- Type: CurrencyCode Extended Data Type
The currency for which the closing balance has to be calculated.
- _transDate
- Type: TransDate Extended Data Type
The date up to which the transactions have to be included to calculate the balance.
Show: