Note
Access to this page requires authorization. You can try signing in or changing directories.
Access to this page requires authorization. You can try changing directories.
The LedgerJournalTrans table contains the transaction detail information that pertains to a single journal. The individual transaction lines are also referred to as voucher lines. The journal is a record in the LedgerJournalTable table.
Configuration Key: LedgerBasic
Methods
Method | Description | |
---|---|---|
![]() |
accountAgreementDocumentTitle_RU | Displays document title of the current LedgerJournalTrans agreement. |
![]() |
accountDisplay | |
![]() |
accountName | |
![]() |
accountNameFind | |
![]() |
affectsOtherWithholdCalcs_BR | |
![]() |
amount | |
![]() |
amountCur2DebCred | |
![]() |
amountCurPDC | |
![]() |
amountMST_RU | |
![]() |
aosValidateDelete | Validates on the server that the specified record can be deleted from a table. (Inherited from xRecord.) |
![]() |
aosValidateInsert | Validates on the server that the specified record can be inserted. (Inherited from xRecord.) |
![]() |
aosValidateRead | Validates on the server that the specified record can be read. (Inherited from xRecord.) |
![]() |
aosValidateUpdate | Validates on the server that the specified record can be updated. (Inherited from xRecord.) |
![]() |
areAccountsInSingleCompany | Determines whether the primary account and offset account are in a single company. |
![]() |
bankAccount_BR | Gets the account number of the bank. |
![]() |
bankAgency_BR | Gets the agency number of the bank. |
![]() |
bankDac_BR | Gets the account control characters (DAC) of the bank. |
![]() |
bankPaymentOrderJour_RU | |
![]() |
buf2con | Packs the table buffers of an xRecord instance into an X++ container. (Inherited from xRecord.) |
![]() |
cacheAllowEdit | Updates the performance validation caches that indicate when the LedgerJournalTrans table can be edited. |
![]() |
cacheAllowEditUpdate | |
![]() |
calcAmountMST | Calculates the net MST total amount for a LedgerJournalTrans record. |
![]() |
calcAverageLinesExchRate_HU | Calculates the exchange rate on the journal line using average method. |
![]() |
calcBankAmount_RU | |
![]() |
calcBaseAmountMSTIncTaxInCostPrice | |
![]() |
calcCreditMST | Calculates the MST amount for a LedgerJournalTrans.amountCurCredit value. |
![]() |
calcDebitMST | Calculates the MST amount for a LedgerJournalTrans.amountCurDebit value. |
![]() |
calcFIFOLineExchRate_HU | Calculates the exchange rate for the journal line using FIFO. |
![]() |
calcLineAmountExclTax_RU | |
![]() |
calcPaymentFee | |
![]() |
calculateBankCurrencyAmount | Calculates the bank currency amount. |
![]() |
calcUserTaxBase_PL | |
![]() |
canAccountTypeBeTaxed | Determines whether the specified account type can be taxed by the tax engine. |
![]() |
cancelMandateLogRecord | |
![]() |
cancelTimeOut | Cancels a previous method call to the setTimeOut method. (Inherited from Object.) |
![]() |
canCloseTaxWithholdEditStatus_BR | |
![]() |
canCreateBankDocument | Indicates whether a bank document can be created from the table in current status. |
![]() |
canCreateFixedAssetsSiblingRecord | Indicates whether a LedgerJournalTrans_Asset sibling record can be created. |
![]() |
canPrintNonNegotiableCheque | Indicates whether non-negotiable checks can be printed against this transaction. |
![]() |
canReopenTaxWithholdEditStatus_BR | |
![]() |
canSkipBlockedForManualEntryCheck | Gets a value that indicates whether the current record can skip the blocked for manual entry check. |
![]() |
canSubmitToWorkflow | Indicates whether submission to workflow is possible. (Inherited from xRecord.) |
![]() |
caption | Gets and sets the caption property of a table. (Inherited from xRecord.) |
![]() |
cashDiscAmount_BR | |
![]() |
checkAccountTypesProject | |
![]() |
checkAgreement_RU | Checks agreement of the current LedgerJournalTrans record depending on account type. |
![]() |
checkAllowEdit | |
![]() |
checkAllowEditPaymentOrder_RU | |
![]() |
checkAllowEditPromissoryNote | |
![]() |
checkAllowEditWhenCheckPrinted | |
![]() |
checkAllowPosting | |
![]() |
checkAmount | |
![]() |
checkApprovalActive | Performs approval validation on the current record. |
![]() |
checkBankAccounts | Indicates whether accounts of type bank are valid. |
![]() |
checkBridgePosting_IN | Returns true PDCClearingPosting is marked for the PaymMode; otherwise false. |
![]() |
checkBudget | Checks the availability of budget funds. |
![]() |
checkCreditRemainAmountCur | Checks the proposed settlements for possible overpayment. |
![]() |
checkCurrency | |
![]() |
checkCustomsTariffCode_IN | Checks the customs tariff code to see if it is valid. |
![]() |
checkDataAreaAccessible | |
![]() |
checkEnvironmentFlowDataEntered | |
![]() |
checkExchRate | |
![]() |
checkFieldViewAccessLevel_BR | This method will check if the column in the given table has proper field access. |
![]() |
checkInterCompany | |
![]() |
checkInvalidFieldAccess | Gets and sets invalid field access. (Inherited from xRecord.) |
![]() |
checkJournalAccountControl | Performs journal control validation on the current record. |
![]() |
checkMaximumRetailPrice_IN | Checks whether maximum retail price is positive. |
![]() |
checkNegInstPosting | |
![]() |
checkOpertaionType_MX | Checks for the operation type if it is blank. |
![]() |
checkPaymentFilledOk | |
![]() |
checkPaymentReferenceIS | Verifies whether the payment reference is required for the transaction record. |
![]() |
checkPrepaymentTaxGroups | Verifies the tax groups of a prepayment against any linked advance invoices. |
![]() |
checkProjId | |
![]() |
checkRDefferalsClosingDate_RU | |
![]() |
checkReasonRefRecID | |
![]() |
checkRecord | Gets and sets the property that indicates whether to check mandatory fields. (Inherited from xRecord.) |
![]() |
checkReleaseDate | Checks the release date against the current date. |
![]() |
checkRestrictedDeleteActions | Gets and sets the property that indicates whether a record can be deleted. (Inherited from xRecord.) |
![]() |
checkServiceCode_IN | This method is used to validate the user entry against the records in the master table for service codes. |
![]() |
checkSettledVendorAutority_IN | Checks whether settled vendor authority. |
![]() |
checkVATNumJournal | |
![]() |
checkVATPosting | |
![]() |
checkVatRegData_W | |
![]() |
checkVatTransaction | |
![]() |
checkVendPrepayment_CZ | |
![]() |
checkVoucherNotUsed | |
![]() |
checkVoucherNotUsedDataSource | Determines if the voucher is being used by a different ledgerJournalTrans row on a form's datasource that is not in the database. |
![]() |
checkVoucherSeries | |
![]() |
checkZeroAmount | |
![]() |
clear | Removes all rows from the table buffer. (Inherited from xRecord.) |
![]() |
clearAgreementDimension_RU | Clears agreement dimension of the current LedgerJournalTrans record depending on account type. |
![]() |
clearBankCurrencyAmount | Clears the bank currency amount. |
![]() |
closeTaxWithholdEditStatus_BR | |
![]() |
compAddressComplement_BR | Gets the building name of the company. |
![]() |
company | Gets and sets the property that indicates a legal entity for the record. (Inherited from xRecord.) |
![]() |
companyInfo | Retrieves the CompanyInfo record associated with the current record. |
![]() |
companyName_BR | Retrieves the journal line company's name. |
![]() |
compCityName_BR | Retrieves the journal line company's primary address city. |
![]() |
compCNPJCPFNum_BR | Retrieves the journal line company's CNPJ/CPF number. |
![]() |
compDistrictName_BR | Retrieves the journal line company's address district name. |
![]() |
compStateName_BR | Retrieves the journal line company's address state name. |
![]() |
compStreetName_BR | Retrieves the journal line company's address street. |
![]() |
compStreetNumber_BR | Gets the StreetNumber of the company. |
![]() |
compZipCode_BR | Retrieves the journal line company's address zip code. |
![]() |
con2buf | Unpacks a container into the table buffers. (Inherited from xRecord.) |
![]() |
concurrencyModel | Gets and sets the default concurrency model to use to update records. (Inherited from xRecord.) |
![]() |
context | Gets and sets the context property. (Inherited from xRecord.) |
![]() |
convertCustPaymAmountCurToDebitCredit | Converts the specified customer payment amount into the appropriate debit or credit. |
![]() |
copyDimension | Copies a dimension set that can be applied to the defaultDimension field on this table. |
![]() |
copyTo | Copies the nonsystem fields from this buffer to the destination buffer. |
![]() |
correct | |
![]() |
createNewPayment | |
![]() |
createTransferTrans | |
![]() |
crossrate | |
![]() |
custPaymentFilledOk | |
![]() |
data | Retrieves a row from the table. (Inherited from xRecord.) |
![]() |
dataSource | Retrieves the data source of the table. (Inherited from xRecord.) |
![]() |
debitCreditDifferenceCur | |
![]() |
defaultDimensionDisplay_RU | Displays dimensions of the current LedgerJournalTrans record. |
![]() |
defaultField | Sets the value of a field to the default value. |
![]() |
defaultingTax1099Amount | |
![]() |
defaultRow | Sets the values of the fields in a particular LedgerJournalTrans table row to their default values. |
![]() |
delete | |
![]() |
deleteForHeader | Deletes the compositional records related to the LedgerJournalTable record. |
![]() |
deleteTaxUncommitted | Deletes the TaxUncommitted records if a field that affects tax has changed. |
![]() |
deleteTaxWitholdUncommitted_IN | Deletes the TaxWithholdUncommitted_IN records if a field that affects tax has changed. |
![]() |
deleteVoucher | |
![]() |
determineVendBankDirection_IN | Determines vend bank direction. |
![]() |
disableCache | Gets and sets the property that indicates whether caching is disabled. (Inherited from xRecord.) |
![]() |
displayAddress_IN | Display the logistics address information. |
![]() |
displayBankLCLineNum | Displays the BankLCShipmentLineNum object of the letter of credit that is related to the CustVendTransOpen record, which is settled using the LedgerJournalTrans record. |
![]() |
displayBankLCNumber | Displays the BankLCNumber object of the letter of credit that is related to the CustVendTransOpen record, which is settled using the LedgerJournalTrans record. |
![]() |
displayCurrencyCode | |
![]() |
displayCustPaymAmount | Gets the customer payment amount from the debit or credit of the transaction. |
![]() |
displayExchRate | |
![]() |
displayExchRateSecond | |
![]() |
displayMainAccountType | Gets the main account type of the voucher. |
![]() |
displayTaxBranchDimension | Displays the tax branch code depending on the ledger dimension. |
![]() |
displayTCSGroupForWHTTaxJournal_IN | Display the TCS group for WHT tax journal. |
![]() |
displayTDSGroupForWHTTaxJournal_IN | Display TDS group for WHT tax journal. |
![]() |
dispose | Releases resources that are used by the xRecord object. (Inherited from xRecord.) |
![]() |
doClear | Removes all rows from the table buffer and bypasses any additional logic in the clear method of the table. (Inherited from xRecord.) |
![]() |
doDelete | Deletes the current record from the table and bypasses any additional logic in the delete method of the table. (Inherited from xRecord.) |
![]() |
doInsert | Inserts the record into the table and bypasses any additional logic in the insert method of the table. (Inherited from xRecord.) |
![]() |
doUpdate | Updates the current record and bypasses any additional logic in the update method of the table. (Inherited from xRecord.) |
![]() |
doValidateDelete | Performs the action to validate that a record can be deleted. (Inherited from xRecord.) |
![]() |
editExchRate | |
![]() |
editExchRateSecond | |
![]() |
editReasonCode | Gets and sets the reason code. |
![]() |
editReasonComment | Gets and sets the reason comment. |
![]() |
editServiceCode_IN | The ServiceCode field in the TaxInformation tab of journals is an edit method now. This will set or get the service codes accordingly. |
![]() |
equal | Determines whether the specified object is equal to the current one. (Inherited from xRecord.) |
![]() |
exchRateDate_W | |
![]() |
exchRateTxt | |
![]() |
exciseManufacture_IN | Gets or sets the manufacture excise record type for the customer free text invoice lines. |
![]() |
exciseNone_IN | Gets or sets the excise record type for the customer free text invoice lines. |
![]() |
exciseTraders_IN | Gets or sets the traders excise record type for the customer free text invoice lines. |
![]() |
existBankPaymentOrderJour_RU | |
![]() |
factureModule_RU | |
![]() |
fieldAccessRight | Returns the field access right. (Inherited from xRecord.) |
![]() |
fieldBufferAccessRight | Returns the field access right for the current record. (Inherited from xRecord.) |
![]() |
fieldState | Sets or returns the state of a field in the table buffer. (Inherited from xRecord.) |
![]() |
fillPaymentNotes | |
![]() |
findAssetTable | |
![]() |
findBankAccountTable | Finds a BankAccountTable record that corresponds to the bank account. |
![]() |
findBankAccountTableForOffset | Finds a BankAccountTable record that corresponds to the offset bank account. |
![]() |
findCustForOffset | Finds the CustTable record corresponding to the offset account. |
![]() |
findCustTable | Finds the CustTable record corresponding to the account. |
![]() |
findCustTransOpen_BR | Finds the CustTransOpen record assigned to this journal record. |
![]() |
findLedgerJournalTransAssetSibling | Performs a company-safe lookup of a LedgerJournalTrans_Asset sibling record of the transaction. |
![]() |
findMainAccount | Finds the MainAccount record that corresponds to the account. |
![]() |
findMainAccountForOffset | Finds the MainAccount record that corresponds to the offset account. |
![]() |
findProjTable | |
![]() |
findVendForOffset | Finds the VendTable record corresponding to the offset account. |
![]() |
findVendTable | |
![]() |
findVendTransOpen_BR | Finds the VendTransOpen record assigned to this journal record. |
![]() |
flushAllowEditCaches | |
![]() |
formatTransactionText_BR | |
![]() |
formSelectSettledNegInst | |
![]() |
fullyFactured_RU | |
![]() |
generateRemittanceFeeTrans | |
![]() |
getActualAndCalculatedTaxForSingleLine | Gets the total actual and calculated tax amount for the current line. |
![]() |
getAllowRedefault | Returns the list of fields that are allowed to re-default. (Inherited from xRecord.) |
![]() |
getAssetCompany | Returns the company that the fixed asset transaction belongs to. |
![]() |
getAssetId | |
![]() |
getAssetId_RU | |
![]() |
getBankLCLine | Gets the BankLCLine record that is related to the CustVendTransOpen record, which is settled by using the LedgerJournalTrans record. |
![]() |
getBankTransactionCurrencyAmount | Gets the bank transaction currency amount. |
![]() |
getBudgetCheckResult | Gets the BudgetCheckResult value for the specified LedgerJournalTrans record. |
![]() |
getCashDocId_RU | |
![]() |
getDefaultingDependencies | Returns the container that holds defaulting dependencies. (Inherited from xRecord.) |
![]() |
getDeferralsId_RU | |
![]() |
getExtension | Returns the table extension. (Inherited from xRecord.) |
![]() |
getFieldValue | Gets the value of the specified field from a table buffer. (Inherited from xRecord.) |
![]() |
getIndirectExclusiveTaxAmountCur_IN | Gets Indirect exclusive tax amount |
![]() |
getInstanceRelationType | Returns the table name that corresponds to the InstanceRelationType ID. (Inherited from xRecord.) |
![]() |
getLedgerAccountForAccount | Gets the dispaly value of the ledger dimension to be posted to based on the account and account type. |
![]() |
getLedgerDimensionForJournalAccount | Gets the ledger dimension to be posted to based on the account and account type. |
![]() |
getLedgerDimensionForLedgerType | Gets the ledger account for the default account. |
![]() |
getLedgerJournalTransBankLC | |
![]() |
getOffsetCompany | |
![]() |
getOffsetLedgerDimensionForLedgerType | Gets the offset ledger account for the default account. |
![]() |
getOffsetLedgerDimensionForProposal | Gets the offset ledger account for the default account for a proposal. |
![]() |
getPaymentExtension_BR | Retrieves the LedgerJournalTransPayment_BR object |
![]() |
getPhysicalTableName | Return the physical table name, which, in the case of the SQL Temp DB table, is the table instance name. (Inherited from xRecord.) |
![]() |
getPostingProfileForCustVend | |
![]() |
getPresenceFieldData | Retrieves the PresenceInfo value from the specified field. (Inherited from xRecord.) |
![]() |
getProjectId | Gets the project ID for this transaction. |
![]() |
getSQLStatement | Gets the SQL statement that is used to return records from the database. (Inherited from xRecord.) |
![]() |
getTableInInstanceHierarchy | (Inherited from xRecord.) |
![]() |
getTableType | Indicates the type of the table. (Inherited from xRecord.) |
![]() |
getTaxSetOffVoucher_IN | Retrieves the specified TaxSetoffVoucher record in the LedgerJournalTrans table. |
![]() |
getTimeOutTimerHandle | Returns the timer handle for the object. (Inherited from Object.) |
![]() |
getWithholdTaxTypeForJournalLine | Gets India withholding tax type for current journal line. |
![]() |
handle | Retrieves the handle of the class of the object. (Inherited from Object.) |
![]() |
handleDeleteTaxWithholdEditStatus_BR | |
![]() |
handleWriteTaxWithholdEditStatus_BR | |
![]() |
hasCashDiscChanged | Determines if the cash discount has been changed. |
![]() |
hasConflictingTaxWithholdEditStatus_BR | Returns true when there's another payment line in the same month, with the same LedgerTransTaxWithholdEditStatus_BR::Opened for the current party. |
![]() |
hasCustVendTransOpen_BR | Determines if the current journal transaction has a related open transaction. |
![]() |
hasIndirectTaxFieldChanged_IN | Check if india fields change affects tax changed. |
![]() |
hasPendingInvoice | Determines whether a pending invoice exists for a LedgerJournalTrans table record. |
![]() |
hasRelatedTable | Indicates whether a foreign key constraint buffer is linked with the table. (Inherited from xRecord.) |
![]() |
hasRelatedTaxWithholdTrans | Determines whether a TaxWithholdTrans table record exists for a LedgerJournalTrans table record. |
![]() |
hasTaxWithholdingTransactions_BR | |
![]() |
hasTaxWithholdSetting_BR | |
![]() |
helpField | Retrieves a string that contains the Help text for the specified field. (Inherited from xRecord.) |
![]() |
initAgreementDimension_RU | Inits agreement dimension of the current LedgerJournalTrans record from AgreementHeaderExt_RU record depending on account type. |
![]() |
initForCurrency | Initializes the current record for a new currency. |
![]() |
initFromBankClientPayment_RU | |
![]() |
initFromCustPaymModeTable | Performs initialization by using the specified payment method. |
![]() |
initFromCustTable | Performs initialization using the specified customer. |
![]() |
initFromCustVendVatRegNums_PL | |
![]() |
initFromGeneralJournal | |
![]() |
initFromLedgerJournalTable_LT | |
![]() |
initFromTAMDeduction | Initializes a LedgerJournalTrans record from current record. |
![]() |
initTaxInfomation_IN | Initializes the TaxInformation_IN field of LedgerJournalTrans table. |
![]() |
initValue | Initializes field values in a new LedgerJournalTrans record. |
![]() |
inputStatus | Sets or returns the current input status of the table buffer. (Inherited from xRecord.) |
![]() |
insert | Inserts the current record into the database. |
![]() |
insertPost_BR | Runs after the insert() method of LedgerJournalTrans table in order to create extension tables for Brazil. |
![]() |
interactiveContext | Sets or returns the current interactive context of the table buffer. (Inherited from xRecord.) |
![]() |
invoiceAmount_BR | |
![]() |
invoiceDueDate_BR | |
![]() |
invoiceIssueDate_BR | |
![]() |
invoiceNumber_BR | |
![]() |
isBankDocumentPayment | Indicates whether the journal line is linked to a payment bank document. |
![]() |
isBankDocumentPaymentProcessNeeded | Checks whether the bank document processing logic is needed. |
![]() |
isBudgetCheckRequiredForUpdate | Indicates whether the check for available budget funds is required for the update on the LedgerJournalTrans record. |
![]() |
isCashTransaction_RU | |
![]() |
isCompanyIntercompany | Identifies whether a company account is intercompany. |
![]() |
isDeferralsTransaction_RU | |
![]() |
isDependantOnSettlement | Determines whether journal amounts and dates depend on transactions marked for settlement with the journal line. |
![]() |
isDirectSettleForCP_IN | Indicates whether this LedgerJournalTrans is for centralized payment. |
![]() |
isFieldDataRetrieved | Checks whether the data of the given field has been retrieved. (Inherited from xRecord.) |
![]() |
isFieldSet | Checks whether a field has a Set or Defaulted state. (Inherited from xRecord.) |
![]() |
isFixedAssetsTransaction | Indicates whether a transaction is a fixed assets transaction. |
![]() |
isFixedAssetsTransaction_RU | |
![]() |
isForeignVendorAccount_IN | Checks if the transaction is foreign vendor account. |
![]() |
isFormDataSource | Indicates whether the data source is a form. (Inherited from xRecord.) |
![]() |
isGTAVendorAccount_IN | Checks if the transaction is GTA vendor account. |
![]() |
isInterCompanySupportedByTransType | Determines if intercompany is supported by the account type or offset account type. |
![]() |
isLedgerBankJournal_IN | True if its a Ledger-Bank scenario. |
![]() |
isNewRecord | Returns true if the record is a new record that hasn't been persisted yet. (Inherited from xRecord.) |
![]() |
isOffsetCompanyIntercompany | Checks to see whether the offset company account is intercompany. |
![]() |
isOffsetTaxable | Determines whether the primary account type is taxable. |
![]() |
isPartOfUOWSaveChanges | (Inherited from xRecord.) |
![]() |
isPaymentJournal_IN | True if payment journal. |
![]() |
isPrimaryTaxable | Determines whether the primary account type is taxable. |
![]() |
isProjectTransaction | Determines whether this is a project transaction. |
![]() |
isPurchaseCashAccount_IN | True if the main AC or offset AC is a purchase cash one. |
![]() |
isSEPAPaymentRejected | |
![]() |
isServiceApplicable_IN | Checks if the service is applicable. |
![]() |
isServiceTax_IN | Checks if the service tax is available. |
![]() |
isTax1099DetailTransaction | Indicates whether this is a 1099 transaction that requires Tax1099Details. |
![]() |
isTaxable | Checks to see whether tax should be calculated for the journal line. |
![]() |
isTaxCorrection_RU | |
![]() |
isTaxTypeApplicable_IN | Checks if the tax type is applicable. |
![]() |
isTempDb | Indicates whether the type of the table is SQL TempDB. (Inherited from xRecord.) |
![]() |
isTmp | Indicates whether this is a temporary table. (Inherited from xRecord.) |
![]() |
isTransferred | |
![]() |
isTransForGTAVendor_IN | Indicates whether transaction is for GTA vendor. |
![]() |
isTransIntercompany | |
![]() |
isVatTaxAgentAuthorityPayment_RU | |
![]() |
isVATTaxAgentPaymentFromVendorFunds_RU | |
![]() |
isVatTaxAgentPrepayment_RU | |
![]() |
joinChild | Finds the join child of the current record. (Inherited from xRecord.) |
![]() |
joinParent | Finds the join parent of the current record. (Inherited from xRecord.) |
![]() |
ledgerJournalTable | Finds the journal record that is the parent of this LedgerJournalTrans record. |
![]() |
ledgerJournalTransExtensionTH | Get the LedgerJournalTransExtensionTH table. |
![]() |
ledgerJournalTransTaxExtensionIN | Get the LedgerJournalTransTaxExtensionIN table. |
![]() |
linesQty_PL | |
![]() |
linkPhysicalTableInstance | Checks whether there is a link for the physical table instance for the record. (Inherited from xRecord.) |
![]() |
listCodeAllowed | Determines whether the list code field is available. |
![]() |
lookupServiceCode_IN | The lookup logic used to display the service codes from the company selected in the general tab. |
![]() |
mainAccountType_PL | Gets the main account type of the current transaction. |
![]() |
markedForSettlementError | |
![]() |
markedForSettlementMaxDueDate | |
![]() |
markedForSettlementWarning | |
![]() |
markedForSettlementWarnMixedDueDate | |
![]() |
mcrCurrencyCode | Displays the currency code for the LedgerJournalTrans record. |
![]() |
mcrIsDeduction | Finds the specified record in the LedgerJournalTrans table. |
![]() |
mcrIsDeductionParent | Finds the specified record in the TAMDeduction table. |
![]() |
mcrUpdateRelatedPayment | Updates the related payment record if one exists. |
![]() |
merge | Merges the current table with the specified table. (Inherited from xRecord.) |
![]() |
mergeDimension | Returns a dimension set that holds the merged combination of the current defaultDimensionfield on this table and the provided dimension set. |
![]() |
modifiedField | |
![]() |
modifiedFieldRemovesAccruals | |
![]() |
modifiedFieldValue | Modifies the field value. |
![]() |
modifyVatDueDate_W | |
![]() |
negotiableInstrumentPostInsert | |
![]() |
negotiableInstrumentPreInsert | |
![]() |
negotiableInstrumentUpdate | |
![]() |
new | Initializes a new instance of the Object class. (Inherited from Object.) |
![]() |
notExistsPostedWHTForCP_IN | Indicates whether current LedgerJournalTrans settles an invoice which has posted withholding tax. |
![]() |
notify | Releases the hold on an object that has called the wait method on this object. (Inherited from Object.) |
![]() |
notifyAll | Releases a lock on the object that was issued by the wait method on this object. (Inherited from Object.) |
![]() |
objectOnServer | Determines whether the object is on a server. (Inherited from Object.) |
![]() |
offsetAccountAgreementDocumentTitle_RU | Displays document title of the current LedgerJournalTrans offset agreement. |
![]() |
offsetAccountName | |
![]() |
offsetDefaultDimensionDisplay_RU | Displays offset dimensions of the current LedgerJournalTrans record. |
![]() |
openTaxWithholdEditStatus_BR | |
![]() |
operationTax_RU | |
![]() |
orig | Retrieves the original values of the current record. (Inherited from xRecord.) |
![]() |
overwriteSystemfields | Gets and sets the property that indicates whether system fields can be overwritten. (Inherited from xRecord.) |
![]() |
owner | Returns the instance that owns the object. (Inherited from Object.) |
![]() |
packExtensionTable | Packs a SysExtensionSerializerExtensionMap extension table's buffer inside the record's internal cache. |
![]() |
packledgerJournalTransTaxExtensionIN | Packs the LedgerJournalTransTaxExtensionIN table |
![]() |
parmAccount | |
![]() |
parmBankAccount | Gets the bank account ID. |
![]() |
parmBankCurrencyAmount | Gets the bank currency amount. |
![]() |
parmBankDocumentBookType | Gets the bank document type. |
![]() |
parmDefaultDimension | |
![]() |
parmLedgerDimension | |
![]() |
parmOffsetAccount | |
![]() |
parmOffsetDefaultDimension | |
![]() |
parmOffsetLedgerDimension | |
![]() |
paymentAmount_BR | |
![]() |
paymentDocumentName_RU | |
![]() |
paymentOrderBudgetTrans_RU | |
![]() |
paymModeModified | |
![]() |
paymStatusModified | |
![]() |
paySheetTransDeleteLink_RU | |
![]() |
pdsCalcAmt | |
![]() |
postCacheLoad | Is executed after data is hit from the cache for the select operation on the table. (Inherited from xRecord.) |
![]() |
postLoad | Is executed after a record is read. (Inherited from xRecord.) |
![]() |
preRemoting | Is executed before a cross-tier call is about to be executed for the table that would pack its state to the other tier. (Inherited from xRecord.) |
![]() |
processPaymentBankDocument | Processes payment type bank document from this table. |
![]() |
purchOffsetLedgerDimension | |
![]() |
queryTimedOut | Indicates whether the query exceeded the time limit for execution. (Inherited from xRecord.) |
![]() |
queryTimeout | Gets and sets the property that indicates the time limit for the execution of a query. (Inherited from xRecord.) |
![]() |
readCommittedLock | (Inherited from xRecord.) |
![]() |
readPast | Gets and sets the property that indicates whether to skip rows that are locked by other processes when a record is read. (Inherited from xRecord.) |
![]() |
recordLevelSecurity | Gets and sets the property that indicates whether to apply security on a record level. (Inherited from xRecord.) |
![]() |
relatedTable | Sets or returns the related buffer of a link of a table buffer. (Inherited from xRecord.) |
![]() |
removeAccruals | |
![]() |
removeBudget | Removes the budget amounts for the current LedgerJournalTrans record. |
![]() |
removeBudgetForVoucher | Removes the budget amounts for all the LedgerJournalTrans records that are associated to the voucher of the current LedgerJournalTrans record. |
![]() |
renamePrimaryKey | Renames the foreign keys in other tables according to the change of the corresponding primary key value in this table. (Inherited from xRecord.) |
![]() |
reopenTaxWithholdEditStatus_BR | |
![]() |
represPersonCard_LT | |
![]() |
represPersonCard_RU | |
![]() |
represPersonCardEdit_W | Edits the representative person card information. |
![]() |
represPersonName_LT | |
![]() |
represPersonName_RU | |
![]() |
represPersonNameEdit_W | Edits the representative person name. |
![]() |
reread | Rereads the record from the table. (Inherited from xRecord.) |
![]() |
reuseCheck | |
![]() |
revertBankAccountTrans | Reverts the BankAccountTrans table updates that were made when a bank check or deposit reversal journal is created. |
![]() |
revertBankChequeTable | Reverts the BankChequeTable table updates that were made when a bank check reversal journal is created. |
![]() |
revertBankDeposit | Reverts the BankDeposit table updates that were made when a bank deposit slip cancellation journal is created. |
![]() |
rollbackFIFOLineExchRate_HU | |
![]() |
RowCount | Retrieves the number of rows in the table. (Inherited from xRecord.) |
![]() |
selectForUpdate | Gets and sets the property that indicates whether to select records for update when they are read. (Inherited from xRecord.) |
![]() |
selectLocked | Indicates whether to select locked records. (Inherited from xRecord.) |
![]() |
selectRefRecord | Selects the record by referenced field ID. (Inherited from xRecord.) |
![]() |
selectWithRepeatableRead | Gets and sets the property that indicates whether repeatable read is enabled. (Inherited from xRecord.) |
![]() |
serviceTaxAmountForReverseCharge_IN | Gets the service tax amount for reverse charge. |
![]() |
servicetaxBaseamountForAdvancePayment_IN | Gets the service tax base amount for advance payment. |
![]() |
setAgreementEmptyValues_RU | Clears agreement or ofsset agreement of the current LedgerJournalTrans record depending on account type. |
![]() |
setAssessableValue_IN | Sets Assessable value of the table LedgerJournalTrans record. |
![]() |
setConnection | Sets the user connection for this table. (Inherited from xRecord.) |
![]() |
setCrossPartition | Sets or resets cross-partitioning for the table. (Inherited from xRecord.) |
![]() |
setCustVendSettlementbuffer | |
![]() |
setCustVendTransOpenbuffer | |
![]() |
setDefaultAccount | |
![]() |
setEPRemitInfo_BR | |
![]() |
setFieldValue | Sets the field value in the record buffer. (Inherited from xRecord.) |
![]() |
setInterestAndFine_BR | Adjusts LedgerJournalTrans fields (FinInterestAmount / FineAmount ) in response to a change in the LedgerJournalTrans AmountCurDebit or AmountCurCredit value. |
![]() |
setListCode | |
![]() |
setNotApplicableTaxWithholdEditStatus_BR | |
![]() |
setOffsetLedgerDimension | Sets the offset account type and offset account fields on the LedgerJournalTrans record. |
![]() |
setRepresPersonValues_W | Sets the values of representative dependent fields. |
![]() |
setSettleVoucher | |
![]() |
setSQLTracing | Enables or disables SQL tracing mode. (Inherited from xRecord.) |
![]() |
setTaxInfoOfCompany_IN | Sets tax information of company. |
![]() |
setTaxInfoOfProjTable_IN | Initializes fields for the current LedgerJournaltrans record with values from the specified project record. |
![]() |
setTaxWithholdEditStatus_BR | |
![]() |
setTimeOut | Sets up the scheduled execution of a specified method. (Inherited from Object.) |
![]() |
setTmp | Sets the table so that it is not persisted to the database. (Inherited from xRecord.) |
![]() |
setTmpData | Sets the contents of the temporary table to the specified data. (Inherited from xRecord.) |
![]() |
setXDSContext | Sets new XDS context. (Inherited from xRecord.) |
![]() |
skipAosValidation | Gets and sets the property that indicates whether to skip validation of Microsoft Dynamics AX Application Object Server (AOS). (Inherited from xRecord.) |
![]() |
skipDatabaseLog | Gets and sets the property that indicates whether to skip database log requests. (Inherited from xRecord.) |
![]() |
skipDataMethods | Gets and sets the property that indicates whether to discard overloaded methods. (Inherited from xRecord.) |
![]() |
skipDeleteActions | Gets and sets the property that indicates whether to skip delete actions on the table. (Inherited from xRecord.) |
![]() |
skipDeleteMethod | Gets and sets the property that indicates whether to discard overloaded methods. (Inherited from xRecord.) |
![]() |
skipEvents | Provides an option to turn off calling the Application.event* methods for the lifetime of an xRecord object. (Inherited from xRecord.) |
![]() |
skipPostLoad | Gets and sets the property that indicates whether to skip executing the xRecord.postLoad method on the table. (Inherited from xRecord.) |
![]() |
skipTTSCheck | Gets and sets the property that indicates whether to skip the check to determine whether the record is selected for update. (Inherited from xRecord.) |
![]() |
splitPaymentInvoiceSettled | |
![]() |
splitPaymentTAN_IN | Splits payment. |
![]() |
suppressWarnings | Gets and sets the property that indicates whether to suppress warnings for this pointer. (Inherited from xRecord.) |
![]() |
swapAccountOffsetAccount | |
![]() |
tableAccessRight | Returns the table access right. (Inherited from xRecord.) |
![]() |
tableBufferAccessRight | Returns the table access right for the current record. (Inherited from xRecord.) |
![]() |
takeOwnershipOfTempDBTable | (Inherited from xRecord.) |
![]() |
taxAmountInCostPrice | |
![]() |
taxAmountJournal | |
![]() |
toolTipField | Retrieves the HelpText value for the specified field. (Inherited from xRecord.) |
![]() |
toolTipRecord | Retrieves the ToolTip value for the current record. (Inherited from xRecord.) |
![]() |
toString | Returns a string that represents the current object. (Inherited from Object.) |
![]() |
totalTaxAmountForInvoice | Gets the total tax amount for an invoice. |
![]() |
totalTaxAmountSingleLine | Gets the total tax amount for the current line. |
![]() |
ttsabort | Aborts a transaction that was started by a call to the ttsbegin method. (Inherited from xRecord.) |
![]() |
ttsbegin | Starts a transaction that can be either committed by the ttscommit method or aborted by the ttsabort method. (Inherited from xRecord.) |
![]() |
ttscommit | Commits a transaction that was started by a call to the ttsbegin method. (Inherited from xRecord.) |
![]() |
type | |
![]() |
update | Updates the current record in the database. |
![]() |
updateAmountCurDelete | |
![]() |
updateAmountCurWrite | |
![]() |
updateAttachments_CN | |
![]() |
updateBankPaymentOrderJour_RU | |
![]() |
updateCustEPRemitInfo_BR | Updates DocumnetType, BankFolder, Instrcution_1 and Instruction_2 in CustEPRemitInfo_BR table. |
![]() |
updateCustVendBankAccount | Saves the record ID of the CustBankAccount or VendBankAccount table in the CustBankAccount or VendBankAccount fields to complete the relation. |
![]() |
updateDerivedDepBookAmount_IN | Update derived depreciation book buffer. |
![]() |
updateEPRemitInfo_BR | Updates the TypedLine, EPBarCodeInfo_BR in VendEPRemitInfo_BR table and EPPaymentType_BR, EPPaymentWay_BR in LedgerJournalTransPayment_BR table when EPBarcodeInfo_BR in VendTransPayment_BR changed |
![]() |
updateFeeOffsetAccount | |
![]() |
updateFIFOLineExchRate_HU | |
![]() |
updateInvoicePaymStatus | |
![]() |
updateLedgerJournalTable | |
![]() |
updateLedgerJournalTransFeeVoucher | |
![]() |
updateMarkedInvoice | Updates the marked invoice of the current payment. |
![]() |
updateMarkedInvoiceWithTrans | Updates the marked invoice of the current payment by using the specified marked transaction. |
![]() |
updateOperationType_MX | Updates the OperationType_MX field value when you post the journals when there is no common tax codes, that is, when the DiotAddInfo_MX check box is checked, are not attached. |
![]() |
updatePaymentOrderBudgetTrans_RU | |
![]() |
updatePaySheetTrans_RU | |
![]() |
updateTaxCode | |
![]() |
updateTCSGroup_IN | Update TCSGroup_IN. |
![]() |
updateTDSGroup_IN | Update TDSGroup_IN. |
![]() |
updateVoucherHeader_CN | Updates old Chinese voucher number according to new journal lines, releases old voucher number. |
![]() |
usageCount | Retrieves the current number of references (the value of the reference counter) that the object has. (Inherited from xRecord.) |
![]() |
useExistingTempDBTable | (Inherited from xRecord.) |
![]() |
validateBankAccount | |
![]() |
validateCurrencyConvBankTransAccount_RU | |
![]() |
validateDelete | Determines whether the current record is valid and ready to be deleted from the database. |
![]() |
validateField | Determines whether the specified field is valid. |
![]() |
validateFieldValue | Validates field value. |
![]() |
validateGTA_ForeignVendor_IN | Validates GTA and foreign vendors for reverse cahrge mechanism. |
![]() |
validateInvoice | |
![]() |
validateSpecBankAccountId_RU | |
![]() |
validateW9Received | Validates that a W-9 has been received from the vendor if the journal's account or offset account corresponds to a vendor. |
![]() |
validateWrite | Determines whether the current record is valid and ready to be written to the database. |
![]() |
validateWrite_Server | Indicates whether the current record is valid and ready to be written to the database. |
![]() |
validateWrite_ServerPre | Indicates whether the current record is valid and ready to be written to the database. |
![]() |
validTimeStateUpdateMode | Sets a valid time state update mode on the cursor. (Inherited from xRecord.) |
![]() |
vatData_copyLine_PL | |
![]() |
vatInPayment_RU | |
![]() |
vatTaxAgentAmountPayable_RU | |
![]() |
vendPaymentFilledOk | |
![]() |
wait | Pauses a process. (Inherited from Object.) |
![]() |
wasCached | Specifies the location from which the data was retrieved. (Inherited from xRecord.) |
![]() |
write | Writes data to ledger journal trans. |
![]() |
xml | Retrieves an XML string that represents the current object. (Inherited from xRecord.) |
![]() ![]() |
::calcTaxOnVoucher | |
![]() ![]() |
::canServiceTaxCalculate_IN | Checks if the service tax can be calculated. |
![]() ![]() |
::checkVoucherNotUsed_CN | Checks if the voucher is used or not. |
![]() ![]() |
::clearTaxCache | Clears the internal caches for tax amounts and corrected tax amounts of all ledger journal transactions with specified journal number. |
![]() ![]() |
::deleteChildrenForLedgerJournalTable | Deletes the records in the delete action tables of the LedgerJournalTranstable associated with the specified LedgerJournalTable record. |
![]() ![]() |
::deleteForLedgerJournalTable | Deletes all the LedgerJournalTrans records associated with the specified LedgerJournalTable record. |
![]() ![]() |
::deleteIfZeroAmount | |
![]() ![]() |
::deleteLineAfterPosting | |
![]() ![]() |
::deleteTransFromVoucher | |
![]() ![]() |
::exist | |
![]() ![]() |
::existBadDebtPeriod_JP | Check whether there are record(s) existing in LedgerJournalTrans. |
![]() ![]() |
::existCollectedBadDebtPeriod_JP | Reads the LedgerBadDebtAccounts_JP table for the specified id. |
![]() ![]() |
::existJournalNum_CN | Checks if the journal number exist in the ledger journal transaction. |
![]() ![]() |
::existLedgerJournalTrans_IN | Determines whether the record exists in the table with specified value model. |
![]() ![]() |
::existsAdvancePaymentForServiceTax_IN | Checks if the advance payment for service tax exists. |
![]() ![]() |
::existsLedgerAccount_IN | Checks if the ledger account exists. |
![]() ![]() |
::existTransMinusThis | |
![]() ![]() |
::existVoucher | |
![]() ![]() |
::find | |
![]() ![]() |
::findByRef | Finds the specified record in the LedgerJournalTrans table. |
![]() ![]() |
::findByRefAndDataArea | Finds the specified record in the LedgerJournalTrans table. |
![]() ![]() |
::findByReverse | Finds the specified record in the LedgerJournalTrans table by using the reverse reference. |
![]() ![]() |
::findFacture_RU | |
![]() ![]() |
::findJournalForVoucher | Retrieves the specified record in the LedgerJournalTrans table, depending on the Voucher parameter and the transDate parameter. |
![]() ![]() |
::findLedgerJournalId | |
![]() ![]() |
::findRCashDocID_HU | |
![]() ![]() |
::findRecId | |
![]() ![]() |
::findTaxSource | Determines which LedgerJournalTrans record in an intercompany document is the tax obligation source company. |
![]() ![]() |
::findTmpVoucher | |
![]() ![]() |
::findVendTransId | |
![]() ![]() |
::findVoucher_BR | |
![]() ![]() |
::getActualAndCalculatedTaxForSingleLineIL | Gets the actual and calculated tax amount for the specified line. |
![]() ![]() |
::getInterCompanyForCentralizedPay_IN | Gets te company id or the offset company id for a centralized payment line. |
![]() ![]() |
::getLedgerDimensionForLedgerTypeServer | Gets the ledger account for the default account. |
![]() ![]() |
::getOffsetLedgerDimForLedgerTypeServer | Gets the offset ledger account for the default account. |
![]() ![]() |
::getOffsetLedgerDimForProposalServer | Gets the offset ledger account for the default account for a proposal. |
![]() ![]() |
::getTaxInstance | Gets an instance of TaxCalculation with the tax lines loaded into TmpTaxWorkTrans. |
![]() ![]() |
::getTaxWithholdInstance_IN | Gets an instance of TaxWithholdCalculation_IN with the withhold tax lines loaded into TmpTaxWithholdWorkTrans_IN. |
![]() ![]() |
::getTransDateByReverse | Finds the transDate in the LedgerJournalTrans table by using the reverse reference. |
![]() ![]() |
::isCentralizedAdvancePayment_IN | Checks whether the journal line is linked to Servicetax centralized payment. |
![]() ![]() |
::isLegalEntityInCountryRegionForDelAct | Gets a value that indicates whether any of the country specific delete action tables of the LedgerJournalTrans table are in scope. |
![]() ![]() |
::isTaxWithholdGroupOnLJT_IN | Determines whether the specified record have tax withhold group. |
![]() ![]() |
::lastLineNum | |
![]() ![]() |
::ledgerJournalTransPool | Returns a LedgerJournalTrans table record that represents an AP invoice pool. |
![]() ![]() |
::ledgerJournalTransRegister | Returns a record in the LedgerJournalTrans table that represents an AP invoice register. |
![]() ![]() |
::mainAccount | |
![]() ![]() |
::mcrFindByInvoice | Finds the specified record in the LedgerJournalTrans table. |
![]() ![]() |
::mcrFindByPaymIdPaymModePaymRef | Given the payment id,payment mode and paym reference return a record in the LedgerJournalTrans table. |
![]() ![]() |
::mcrFindRefPaymId | Finds the reference payment ID pertaining to the passed payment record ID. |
![]() ![]() |
::revertBankBorderoNum_BR | Finds LedgerJournalTrans records and sets their bordero number to empty. |
![]() ![]() |
::revertBankChequeNum | Finds LedgerJournalTrans records and sets their check number to empty. |
![]() ![]() |
::splitCreateNewVoucher | |
![]() ![]() |
::totalTaxAmountSingleLineIL | Gets the total tax amount for the current line. |
![]() ![]() |
::updateApproveJBAPayment | Updates field approved and approver according to the journal number |
Top
Fields
Field | Type | Configuration key | Description |
---|---|---|---|
AccountAgreementId_RU | Extended Data Type: AgreementId_RU Type: String |
TradeBlanketOrder | Agreement registration number. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
AccountType | Enumeration: LedgerJournalACType |
None | Account type that specifies the type of account the transaction will be applied to. |
AcknowledgementDate | Extended Data Type: AcknowledgementDate Type: Date |
None | Date when the company gains knowledge of the transaction. |
Addressing_PL | Extended Data Type: Addressing Type: String |
LedgerBasic | Enter the address of the customer or vendor (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
AgreementCompany_RU | Extended Data Type: AgreementCompany_RU Type: String |
TradeBlanketOrder | Company for agreement selection (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
AmountCurCredit | Extended Data Type: AmountCurCredit Type: Real |
None | Credit amount in given currency. |
AmountCurDebit | Extended Data Type: AmountCurDebit Type: Real |
None | Debit amount in given currency. |
AnnouncementNum_RU | Extended Data Type: BankCashDueAnnouncement_RU Type: String |
Bank | Cash due announcement number. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
Approved | Extended Data Type: Approved Type: Enum |
None | Has transaction been approved? |
Approver | Extended Data Type: HcmApprover Type: Int64 |
None | Worker who approved the record. |
AssessableValue_IN | Extended Data Type: AmountCur Type: Real |
None | Assessable value for the transaction line. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
Attachments_CN | Extended Data Type: Counter Type: Integer |
None | Number of attachments (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankAccountId | Extended Data Type: CompanyBankAccountId Type: String |
CustVendNegotiableInstrument | Bank account number |
BankAgreementExt_RU | Extended Data Type: AgreementHeaderExtRecId_RU Type: Int64 |
TradeBlanketOrder | Agreement from registration certificate of transaction. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankBillOfExchangeNum | Extended Data Type: BankBillOfExchangeNum Type: String |
CustBillOfExchange | Number of the printed bill of exchange. |
BankCentralBankPurposeCode | Extended Data Type: BankCentralBankPurposeCode Type: String |
LedgerBasic | Code used when reporting to the central bank. |
BankCentralBankPurposeText | Extended Data Type: BankCentralBankPurposeText Type: String |
LedgerBasic | Describe code used when reporting to the central bank. |
BankCentralBankTransTypeCur_RU | Extended Data Type: BankCentralBankTransTypeCur_RU Type: String |
Bank | Currency operation code according to central bank. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankChequeDepositTransRefRecID | Extended Data Type: RefRecId Type: Int64 |
Bank | Customer or vendor transaction for corresponding check reversal or bank deposit slip reference record ID. |
BankChequeNum | Extended Data Type: BankChequeNum Type: String |
BankCheque | Identification of the bank check. |
BankClientDocumentTypeId_RU | Extended Data Type: BankClientDocumentTypeId_RU Type: String |
None | The code of document kind. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankCommAccountId_RU | Extended Data Type: CompanyBankAccountId Type: String |
Bank | Bank account number (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankCurrency | Extended Data Type: CurrencyCode Type: String |
None | Current currency code (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankCurrencyAmount | Extended Data Type: AmountCur Type: Real |
None | The amount in the transaction currency (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankCurrencyDealCourse_RU | Extended Data Type: BankCurrencyDealCourse_RU Type: Real |
Bank | Bank exchange rate for currency conversion. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankCurrencyTransferLog_RU | Extended Data Type: RefRecId Type: Int64 |
None | Order number for currency sale/purchase/transfer. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankDepositNum | Extended Data Type: BankDepositNum Type: String |
BankDeposit | Deposit slip number. |
BankDepositVoucher | Extended Data Type: BankDepositVoucher Type: Enum |
BankDeposit | If selected, the payment amount can be deposited using a deposit slip |
BankNegInstRecipientName | Extended Data Type: BankNegInstRecipientName Type: String |
BankCheque | The name of the recipient who will be issued a check. |
BankPaymentRegistrationNum_LV | Extended Data Type: LvBankPaymentRegistrationNum Type: String |
None | The payment registration number assigned by bank. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankPrintAccountNum_RU | Extended Data Type: LedgerJournalAC Type: String |
Bank | Payment document will be created for the customer/vendor. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankPromissoryNoteNum | Extended Data Type: BankPromissoryNoteNum Type: String |
VendPromissoryNote | Number of the printed promissory note. |
BankReconcileAccountAtPost | Enumeration: NoYes |
Bank | Reconcile the bank transaction at posting |
BankRemittanceFileId | Extended Data Type: BankRemittanceFileId Type: String |
CustVendNegotiableInstrument | Unique identification of the remittance file. |
BankRemittanceType | Enumeration: BankRemittanceType |
CustVendNegotiableInstrument | Specify the type of remittance made to the bank. |
BankRespWorkerId_RU | Extended Data Type: HcmWorkerRecId Type: Int64 |
None | The name of the worker (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankSpecAccountId_RU | Extended Data Type: CompanyBankAccountId Type: String |
Bank | Bank account number (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BankTransType | Extended Data Type: BankTransactionType Type: String |
Bank | Transaction type in Cash and bank management module. |
BankVendAccountId_RU | Extended Data Type: VendAccount Type: String |
None | Foreign counteragent from registration certificate of transaction. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
BudgetSourceLedgerEntryUnposted | Extended Data Type: RefRecId Type: Int64 |
LedgerAdv2BudgetCtrl | Reference field in a different table |
Cancel | Extended Data Type: Cancelled Type: Enum |
VendInvoiceRegisterApproval | Cancellation of vouchers transferred from invoice approval journal. |
CashDiscAmount | Extended Data Type: DiscAmount Type: Real |
None | Cash discount amount included in the payment. |
CashDiscBaseDate | Extended Data Type: CashDiscBaseDate Type: Date |
LedgerBasic | The date that is used for calculating discount dates and due dates (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS), Microsoft Dynamics AX 2012 Feature Pack (SYS)) |
CashDiscBaseDays | Extended Data Type: CashDiscBaseDays Type: Integer |
LedgerBasic | The number of days that will be added to the document date when calculating discounts and due dates (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS), Microsoft Dynamics AX 2012 Feature Pack (SYS)) |
CashDiscCode | Extended Data Type: CashDiscCode Type: String |
LedgerBasic | Cash discount code for subsequent approval. |
CashDiscPercent | Extended Data Type: DiscPct Type: Real |
None | Discount in percentage. |
CashReceiptNum_LV | Extended Data Type: LvCashReceiptNumber Type: String |
None | Number of a cash receipt. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
Company | Extended Data Type: SelectableDataArea Type: String |
None | Abbreviation of the company accounts where the current line is to be posted. |
CompanyLocation_IN | Extended Data Type: LogisticsLocationRecId Type: Int64 |
None | Reference field in a different table (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
ConsignmentNoteNum_IN | Extended Data Type: ConsignmentNum_IN Type: String |
None | Identification of the consignment note number. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
Correct_RU | Extended Data Type: Correct_RU Type: Enum |
LedgerBasic | Is the document a correction? (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
CorrectedInvoiceDate_RU | Extended Data Type: CorrectedInvoiceDate_RU Type: Date |
None | Date of corrected invoice. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
CorrectedInvoiceId_RU | Extended Data Type: CorrectedInvoiceId_RU Type: String |
None | Number of invoice being corrected. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
CorrectionType_RU | Enumeration: FactureCorrectionType_RU |
None | Facture correction type. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
CurrencyCode | Extended Data Type: CurrencyCode Type: String |
None | Current currency code |
CustBankAccount | Extended Data Type: RefRecId Type: Int64 |
None | Reference field in a different table |
CustEinvoicePaymDeliveryNum | Extended Data Type: CustEinvoicePaymDeliveryNum Type: Integer |
None | Integer. |
CustEinvoicePaymSectionNum | Extended Data Type: CustEinvoicePaymSectionNum Type: Integer |
None | Integer. |
CustEinvoicePaymTransNum | Extended Data Type: CustEinvoicePaymTransNum Type: Integer |
None | Integer. |
CustFactureAutoCreate_RU | Extended Data Type: CustFactureAutoCreate_RU Type: Enum |
LedgerBasic | Create facture on prepayment automatically. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
CustomsDuty_IN | Extended Data Type: CustomsAmount_IN Type: Real |
None | The amount in the transaction currency (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
CustomsTariffCodeTable_IN | Extended Data Type: RefRecId Type: Int64 |
None | Customs tariff code for the transaction line. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
CustomsTariffDirection_IN | Enumeration: Direction_IN |
None | Type of direction for the tariff code. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
CustTransId | Extended Data Type: CustTransRefRecId Type: Int64 |
None | ID of customer transaction being paid. |
CustVendAccount_PL | Extended Data Type: PlCustVendAccount Type: String |
None | Unique number for customer/vendor. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
CustVendBankAccountId | Extended Data Type: BankAccountID Type: String |
Bank | Identify bank account of recipient. |
CustVendName_PL | Extended Data Type: PlCustVendName Type: String |
None | Name of customer/vendor. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
CustVendNegInstProtestReason | Enumeration: CustVendNegInstProtestReason |
CustVendNegotiableInstrument | Select a protest cause. |
dataAreaId | Extended Data Type: DataAreaId Type: String |
None | |
DateCashDisc | Extended Data Type: TransDate Type: Date |
None | Last date of payment to qualify for cash discount. |
DebitCurrencyCode_LT | Extended Data Type: LtDebitCurrencyCode Type: String |
None | The currency code for the foreign payment (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
DefaultDimension | Extended Data Type: DimensionDefault Type: Int64 |
LedgerBasic | Default dimensions |
DocumentDate | Extended Data Type: DocumentDate Type: Date |
None | Date for document. |
DocumentNum | Extended Data Type: DocumentNum Type: String |
None | Number of the document that generated the voucher. |
Due | Extended Data Type: DueDate Type: Date |
LedgerBasic | Due date for customer/vendor transaction. |
EnterpriseNumber | Extended Data Type: TaxEnterpriseNumber Type: String |
None | Enterprise number used to identify Belgian companies. |
ErrorCodePayment | Extended Data Type: ErrorCodePayment Type: String |
None | Error code received with return message. |
EUSalesList | Extended Data Type: ListDispatchId Type: String |
ForeignTrade | Sequence transaction number. |
ExchRate | Extended Data Type: ExchRate Type: Real |
None | Currency exchange rate for 100 units. |
ExchRateSecond | Extended Data Type: ExchrateSecondary Type: Real |
None | Exchange rate of 2nd part of currency conversion with triangulation. Specified for 100 units. |
ExciseRecordType_IN | Enumeration: ExciseRecordType_IN |
None | Excise record type to update the excise amount to. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
ExciseTariffCodes_IN | Extended Data Type: RefRecId Type: Int64 |
None | Excise tariff code for the transaction line. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
ExciseType_IN | Enumeration: ExciseType_IN |
None | Excise-type category of the company. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
FileCreated | Extended Data Type: TransDate Type: Date |
None | Date of generation of payment file. |
ForeignBankFee_LT | Extended Data Type: LTForeignBankFee Type: Enum |
None | The party responsible to pay foreign bank fees (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
ForeignCompany | Extended Data Type: SelectableDataArea Type: String |
LedgerAdvIntercompanyAccounting | Foreign company accounts where the voucher also has been posted. |
ForeignVoucher | Extended Data Type: Voucher Type: String |
LedgerAdvIntercompanyAccounting | Voucher number in the other company accounts. |
FreqCode | Enumeration: PeriodUnit |
LedgerBasic | Specify units for periodic transactions. |
FreqValue | Extended Data Type: Freq Type: Integer |
LedgerBasic | Number of units in the individual interval for the transaction. |
FurtherPostingRecId | Extended Data Type: LedgerJournalTransRefRecId Type: Int64 |
None | Reference field in a different table |
FurtherPostingType | Extended Data Type: FurtherPostingType Type: Enum |
LedgerBasic | Use bridging posting? |
GSTHSTTaxType_CA | Enumeration: GSTHSTTaxType_CA |
None | Select the GST/HST line amount type. |
GTAServiceCategory_IN | Enumeration: GTAServiceCategory_IN |
None | The service category for the transaction line. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
ImportDate | Extended Data Type: TransDate Type: Date |
None | Date of import of items (used to report with payment). |
InformByPhone_LT | Extended Data Type: LTInformByPhone Type: Enum |
None | If this check box is selected, the beneficiary is informed by telephone (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
InformByTelex_LT | Extended Data Type: LTInformByTelex Type: Enum |
None | If this check box is selected, the beneficiary is informed by telex (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
IntBank_LV | Extended Data Type: CompanyBankAccountId Type: String |
Bank | Bank account number (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
IntraComVATDueDate_W | Extended Data Type: IntraComVATDueDate_W Type: Enum |
None | Use document date for VAT register (intra-community) (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
Invisible | Enumeration: NoYes |
None | |
Invoice | Extended Data Type: InvoiceId Type: String |
None | Invoice number |
InvoiceReleaseDate | Extended Data Type: InvoiceReleaseDate Type: UtcDateTime |
None | The date when the hold is released for the invoice payment |
JournalNum | Extended Data Type: LedgerJournalId Type: String |
LedgerBasic | Ledger - journal batch number. |
LastTransferred | Extended Data Type: LastTransferred Type: Date |
LedgerBasic | Last date of transfer of periodic transactions. |
LedgerDimension | Extended Data Type: DimensionDynamicAccount Type: Int64 |
LedgerBasic | Account number for current account type. |
LedgerJournalDlvDate_ES | Extended Data Type: LedgerJournalDlvDate_ES Type: Date |
None | The date of delivery for the related goods/services (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
LedgerVoucherType_CN | Extended Data Type: LedgerVoucherTypeRefRecId_CN Type: Int64 |
LedgerBasic | Name of the voucher type. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
LineNum | Extended Data Type: LineNum Type: Real |
None | Identification of line. |
Listcode | Extended Data Type: ListcodeId Type: Enum |
ForeignTrade | List code to be used with the EU sales list. |
LoadingDate | Extended Data Type: TransDate Type: Date |
None | Date to load this journal. |
MarkedInvoice | Extended Data Type: InvoiceId Type: String |
None | The invoice number that is related to the payment. If multiple invoices are assigned, an asterisk (*) is displayed. |
MarkedInvoiceCompany | Extended Data Type: SelectableDataArea Type: String |
None | ID for the company you can select |
MarkedInvoiceRecId | Extended Data Type: RefRecId Type: Int64 |
None | Reference field in a different table |
MarkupCode_RU | Extended Data Type: MarkupCodeVend_RU Type: String |
Markup | Identification of the charges (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
MaximumRetailPrice_IN | Extended Data Type: AmountCur Type: Real |
None | Maximum retail price for the transaction line. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
MCRCCGeneralLedgerId | Extended Data Type: LedgerJournalId Type: String |
MCRPayment | The general ledger ID that ties the ledger journal transaction records to one general ledger header record (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3) |
MCRPaymOrderID | Extended Data Type: MCRPaymOrderId Type: String |
MCRPayment | Identification of the order (sales order, free-text invoice, etc.) associated with this payment (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3) |
MCRPrintTxtOnCheck | Extended Data Type: MCRPrintTxtOnCheck Type: Enum |
MCRPayment | Print text on check? (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3) |
MCRRefPaymID | Extended Data Type: RefRecId Type: Int64 |
MCRPayment | Related payment recID (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3) |
modifiedDateTime | Extended Data Type: ModifiedDateTime Type: UtcDateTime |
None | (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
NatureOfAssessee_IN | Enumeration: NatureOfAssessee_IN |
None | Nature of assessee. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
NegInstId | Extended Data Type: CustVendNegInstId Type: String |
CustVendNegotiableInstrument | Identification of the negotiable instrument. |
NoEdit | Enumeration: NoYes |
None | |
NonRecoverablePercent_IN | Extended Data Type: Percent Type: Real |
None | Enter the percentage of purchase amount not used to manufacture taxable items. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
OffSessionId_RU | Extended Data Type: OffSessionId_RU Type: String |
None | Unique ID to identify the officials session. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
OffsetAccountAgreementId_RU | Extended Data Type: AgreementId_RU Type: String |
TradeBlanketOrder | Agreement registration number. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
OffsetAccountType | Enumeration: LedgerJournalACType |
None | Specify account type of the selected account, for instance ledger, customer or vendor. |
OffsetAgreementCompany_RU | Extended Data Type: AgreementCompany_RU Type: String |
TradeBlanketOrder | Company for agreement selection (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
OffsetCompany | Extended Data Type: SelectableDataArea Type: String |
LedgerAdvIntercompanyAccounting | Abbreviation of the company accounts where the current line is to be offset. |
OffsetDefaultDimension | Extended Data Type: DimensionDefault Type: Int64 |
LedgerBasic | Default dimensions |
OffsetLedgerDimension | Extended Data Type: DimensionDynamicAccount Type: Int64 |
LedgerBasic | Offset account for the transaction. |
OffsetPostingProfile_RU | Extended Data Type: PostingProfile Type: String |
None | Posting profile being processed. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
OffsetTxt | Extended Data Type: LedgerJournalTransTxt Type: String |
None | Any additional text for offset transaction. |
OperationType_MX | Enumeration: VendorOperationType_MX |
None | Operation code used for DIOT declaration. |
Partition | Extended Data Type: Partition Type: Int64 |
None | (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
Payment | Extended Data Type: PaymTermId Type: String |
LedgerBasic | Terms of payment for the current invoice. |
PaymentAccount | Extended Data Type: CompanyBankAccountId Type: String |
BankElectronicBanking | Liquidity account for payment. |
PaymentNotes | Extended Data Type: PaymNote Type: String |
None | Specific comments on payment. |
PaymentPriority_LT | Extended Data Type: LTPaymentPriority Type: Enum |
None | The priority of the payment order. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
PaymentSequenceNum | Extended Data Type: PaymentSequenceNum Type: Integer |
PaymMan | Number of the file sent. |
PaymentStatus | Enumeration: CustVendPaymStatus |
None | How far has payment come in the payment schedule? |
PaymId | Extended Data Type: PaymId Type: String |
LedgerBasic | Payment identification used upon payment. |
PaymInstruction1 | Extended Data Type: PaymInstructionRecId Type: Int64 |
None | Code which is used in the SWIFT message for foreign banks. |
PaymInstruction2 | Extended Data Type: PaymInstructionRecId Type: Int64 |
None | Code which is used in the SWIFT message for foreign banks. |
PaymInstruction3 | Extended Data Type: PaymInstructionRecId Type: Int64 |
None | Code which is used in the SWIFT message for foreign banks. |
PaymInstruction4 | Extended Data Type: PaymInstructionRecId Type: Int64 |
None | Code which is used in the SWIFT message for foreign banks. |
PaymMode | Extended Data Type: PaymMode Type: String |
LedgerBasic | The method of payment |
PaymPurpose_LT | Extended Data Type: LtPaymentPurpose Type: String |
LedgerBasic | Specify payment purpose. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
PaymReference | Extended Data Type: PaymReference Type: String |
LedgerBasic | Reference to a specific payment. |
PaymSpec | Extended Data Type: PaymSpec Type: String |
None | Payment specification for the selected payment. |
PoolRecId | Extended Data Type: LedgerJournalTransRefRecId Type: Int64 |
None | Reference field in a different table |
PostingProfile | Extended Data Type: PostingProfile Type: String |
None | Posting profile being processed. |
Prepayment | Enumeration: NoYes |
LedgerBasicSalesTax | Mark that the payment is to be managed as a prepayment. |
Price | Extended Data Type: Price Type: Real |
None | Price applied when recording quantities. |
PurchIdRange | Extended Data Type: PurchIdRange Type: String |
LogisticsBasic | Specify purchase order numbers pertaining to this invoice. |
PurchLedgerPosting | Extended Data Type: PurchLedgerPosting Type: Enum |
VendInvoiceRegisterApproval | Posting used when approving the purchase. |
Qty | Extended Data Type: QtyStatistical Type: Real |
None | Quantity in statistics |
RCashDocRepresPersonId | Extended Data Type: RCashDocRepresPersonId Type: String |
Bank | A person withholding a cash payment. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
RCashDocRepresType | Enumeration: RCashDocRepresType |
Bank | Type of representative. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
RCashPayTransType | Enumeration: RCashPayLedgerTransType |
Bank | Journal line type. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3) |
ReasonRefRecID | Extended Data Type: ReasonRefRecID Type: Int64 |
None | Contains stored financial reason codes and comments for entered or posted transactions or actions. |
ReceiptDate_W | Extended Data Type: PurchReceiptDate_W Type: Date |
TradeDates_W | The date when the invoice was received (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
RecId | Extended Data Type: RecId Type: Int64 |
None | |
recVersion | Extended Data Type: RecVersion Type: Integer |
None | |
RefCopyReverse_CN | Extended Data Type: RefRecId Type: Int64 |
LedgerBasic | Record the original journal information. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
ReleaseDate | Extended Data Type: PostReleaseDate Type: UtcDateTime |
None | The date that the transaction can be posted. If the field is blank, the transaction can be posted immediately. |
ReleaseDateComment | Extended Data Type: ReleaseDateComment Type: String |
None | Provide an optional comment for the release date |
RemainAmount | Extended Data Type: Amount Type: Real |
None | Remaining amount from invoice after it was paid. |
RemittanceAddress | Extended Data Type: RemittanceAddress Type: Int64 |
None | The mailing address that will be printed on remittances and checks |
RemittanceLocation | Extended Data Type: RemittanceLocation Type: Int64 |
None | The remittance address location name |
RemitteeCurrency | Extended Data Type: CurrencyCode Type: String |
None | Currency in which the amount should be paid off to the receiver's bank. |
RepresPersonCard_W | Extended Data Type: PayeeDocument_RU Type: String |
LedgerBasic | Employee's identity card (i.e. passport). (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3) |
RepresPersonName_W | Extended Data Type: EmplName Type: String |
None | Specify name of employee. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3) |
ReverseDate | Extended Data Type: TransDate Type: Date |
LedgerBasicReversingEntries | Enter a posting date for the reversing voucher. |
ReverseEntry | Enumeration: NoYes |
LedgerBasicReversingEntries | Indicates that the current voucher is a reversing entry. |
RevRecId | Extended Data Type: LedgerJournalTransRefRecId Type: Int64 |
LedgerBasicReversingEntries | Reference field in a different table |
SalesTaxFormTypes_IN | Extended Data Type: SalesTaxFormTypesRecId_IN Type: Int64 |
None | India sales tax form type for the transaction line. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
ServiceCodeTable_IN | Extended Data Type: RefRecId Type: Int64 |
None | Service code for the transaction line. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
SettleVoucher | Enumeration: SettlementType |
LedgerBasic | Specify how settlement takes place. |
SkipBlockedForManualEntryCheck | Enumeration: NoYes |
None | (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3) |
SoftwareDeclReceived_IN | Extended Data Type: SoftwareDeclReceived_IN Type: Enum |
None | Indicate if the tax on the software has already been paid. If selected, no tax is deducted for the software transaction. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3) |
Tax1099Amount | Extended Data Type: Tax1099Amount Type: Real |
None | Amount to be reported in 1099 |
Tax1099Fields | Extended Data Type: Tax1099FieldsRecId Type: Int64 |
None | Box code on the 1099 form that the total amount is posted to. |
Tax1099RecId | Extended Data Type: RefRecId Type: Int64 |
PublicSector | Reference field in a different table (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS), Microsoft Dynamics AX 2012 Feature Pack (SYS), Microsoft Dynamics AX 2012 (FPK)) |
Tax1099State | Extended Data Type: Tax1099State Type: String |
None | Identification of state |
Tax1099StateAmount | Extended Data Type: Tax1099StateAmount Type: Real |
None | Amount to be reported in 1099 |
TaxBase_W | Extended Data Type: TaxBase_W Type: Real |
LedgerBasicSalesTax | Enter the statistical amount used to calculate the VAT amount only for the VAT registers (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
TaxCode | Extended Data Type: TaxCode Type: String |
LedgerBasicSalesTax | Sales tax code must be entered if account number is a sales tax account. |
TaxDirectionControl | Enumeration: NoYes |
LedgerBasicSalesTax | Should the sales tax direction be controlled by ledger account setup? |
TaxGroup | Extended Data Type: TaxGroupJournal Type: String |
LedgerBasicSalesTax | Sales tax group for automatic tax. |
TaxItemGroup | Extended Data Type: TaxGroupJournal Type: String |
LedgerBasicSalesTax | Group of sales tax codes that can be calculated for an item. |
TaxPeriodPaymentCode_PL | Extended Data Type: PlTaxPeriodPaymentCode Type: String |
None | Enter a time period code for VAT transactions (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
TaxSetoffVoucher_IN | Extended Data Type: Voucher Type: String |
LedgerBasic | Voucher number in ledger. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
TaxWithholdAlternateVendorAcct_TH | Extended Data Type: TaxWithholdAlternateVendorAcct_TH Type: String |
None | Vendor invoice account. |
TaxWithholdCalculate_TH | Extended Data Type: TaxWithholdCalculate_TH Type: Enum |
None | Shall withholding tax be calculated for vendor payment transactions in journals? |
TaxWithholdCode_IN | Extended Data Type: TaxWithholdCode Type: String |
LedgerBasicWithholdingTax | Withholding tax code of the selected adjustment line in the journal. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
TaxWithholdGroup | Extended Data Type: TaxWithholdGroup Type: String |
LedgerBasicWithholdingTax | Identification of the withholding tax group. |
TaxWithholdItemGroupHeading_TH | Extended Data Type: TaxWithholdItemGroupId_TH Type: Int64 |
None | Group of withholding tax codes that can be calculated for an item |
TCSGroup_IN | Extended Data Type: TaxWithholdGroup Type: String |
LedgerBasicWithholdingTax | TCS group for calculation of withholding tax. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
TDSGroup_IN | Extended Data Type: TaxWithholdGroup Type: String |
LedgerBasicWithholdingTax | TDS group for calculation of withholding tax. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
TransactionType | Enumeration: LedgerTransType |
None | General specification of the transaction type. |
TransDate | Extended Data Type: TransDate Type: Date |
None | Posting date |
Transfer | Enumeration: NoYes |
None | Is it a transfer? |
TransferCurrency_RU | Extended Data Type: CurrencyCode Type: String |
None | Conversion currency. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
Transferred | Enumeration: NoYes |
None | Has the record been transferred to the journal? |
TransferredBy | Extended Data Type: UserId Type: String |
None | User who transferred the voucher. |
TransferredOn | Extended Data Type: TransDate Type: Date |
None | Transfer date of voucher. |
TransferredTo | Extended Data Type: LedgerJournalId Type: String |
LedgerBasic | Ledger - journal batch number. |
Triangulation | Extended Data Type: EUROTriangulation Type: Enum |
None | Specify whether the exchange rate is included in triangulation. |
Txt | Extended Data Type: LedgerJournalTransTxt Type: String |
None | Text describing the transaction. |
VatDueDate_W | Extended Data Type: VatDueDate_W Type: Date |
LedgerBasicVatDueDate_W | The transaction date for the VAT register period (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
VATGoodsType_IN | Enumeration: VATGoodsType_IN |
None | VAT items type for the transaction line. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
VATNumJournal | Extended Data Type: VATNumJournal Type: String |
LedgerBasicSalesTax | Tax exempt number for extract of statistics. |
VATOnPayment_RU | Extended Data Type: VATOnPayment_RU Type: Enum |
LedgerBasic | Process VAT on "On payment" principle. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
VATOperationCode_RU | Extended Data Type: VATOperationCode_RU Type: String |
LedgerBasicSalesTax | Operation code for VAT declaration. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
VATPaymRefRecId_RU | Extended Data Type: RefRecId Type: Int64 |
None | Reference field in a different table (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
VATTaxAgentVendAccount_RU | Extended Data Type: VATTaxAgentVendAccount_RU Type: String |
LedgerBasicSalesTax | Vendor account number. (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
VendBankAccount | Extended Data Type: RefRecId Type: Int64 |
None | Reference field in a different table |
VendInvoiceDeclaration_IS | Extended Data Type: InvoiceDeclarationId_IS Type: Int64 |
None | Classification of vendor invoices used for instance for reporting to authorities. |
VendTransId | Extended Data Type: VendTransRefRecId Type: Int64 |
None | Record ID of vendor transaction. |
Voucher | Extended Data Type: Voucher Type: String |
LedgerBasic | Voucher number |
Voucher_CN | Extended Data Type: Voucher_CN Type: String |
LedgerBasic | Chinese voucher number (This field applies only to the following version(s): Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2 (SYS)) |
Top
Field Groups
Field Group | Fields |
---|---|
DiotInformation_MX | |
Document | |
ExciseAll_IN | |
EUSalesList | |
Excise_IN | |
ExportPayments | |
ForeignPayments_LT | |
FurtherPosting | |
g1099Fields | |
GSTHSTTaxType_CA | |
Identification | |
IntercompanyAccounting | |
Intrastat | |
Account_W | |
Agreement_RU | |
Administration | |
Amount | |
Amount_IN | |
Approve | |
AutoReport | |
BankClientDocumentType_RU | |
BankCurrencyDealCourse_RU | |
Bank | |
BankChequeDepositTransRef | |
BillOfExchangeDocument | |
BTL91 | |
BankReconcileAtChequeReversal | |
Correct_RU | |
CashDiscBaseDate | |
CashReceipts_LV | |
BudgetSource | |
CompanyInformation_IN | |
Currency | |
CashDiscount | |
CurrencyShow | |
CustomsAll_IN | |
CustomsMisc_IN | |
CustomerImportPayments | |
DepositSlip | |
Description | |
Dates | |
Dimension | |
Settlement | |
Tax_IN | |
TAN_IN | |
TaxSetoffVoucher_IN | |
TaxWithholdCode_IN | |
TransactionType | |
ThirdPartyBank | |
VAT_IN | |
VATOnPayment_RU | |
VatRegister_PL | |
Transfer | |
VATTaxAgent_RU | |
VATTaxAgentInvoice_RU | |
VendInvoiceDeclaration | |
VendTrans | |
Voucher_CN | |
WithHoldingTax | |
Reason | |
RCashPayTransType | |
ReceiptDate_W | |
Reference_CN | |
Remittance | |
Reference_RU | |
SalesTax | |
Representative_RU | |
ReversingEntry | |
SalesTaxAll_IN | |
ServiceTax_IN | |
Posting_W | |
Posting | |
PostingProfiles_RU | |
PostingRelease | |
PrintPaymentOrder_RU | |
ProjectIdentification | |
ProjectIdentificationLedger | |
PromissoryNoteDocument | |
PSA | |
Quantity | |
Purch | |
RCashOrderNotes_RU | |
Invoice | |
InvoicePool | |
Item | |
Markup_RU | |
MCRBankReconciliation | |
MCRMiscellaneous | |
Misc | |
NegInst | |
NegotiableInstrument | |
NotificationToTheCentralBank | |
Officials_RU | |
OffsetAccount | |
OffsetAccount_W | |
Payment | |
Payment_RU | |
PaymentOrder_LV | |
Periodic |
Top
Relations
Relation | Table | Lines |
---|---|---|
AccountAgreementHeaderExt_RU | AgreementHeaderExt_RU | |
AccountAgreementId_RU | AgreementHeaderExt_RU | |
Approver_FK | HcmWorker | |
AssetLedger | AssetLedger | |
BankAccountTable | BankAccountTable | |
BankAccountTable_BankAccountId | BankAccountTable | |
BankAgreementHeaderExt_RU | AgreementHeaderExt_RU | |
BankCentralBankPurpose | BankCentralBankPurpose | |
BankChequeReversalCust | CustTrans | |
BankChequeReversalVend | VendTrans | |
BankChequeTable_RU | BankChequeTable | |
BankClientDocumentType_RU | BankClientDocumentType_RU | |
BankCommAccountId_RU | BankAccountTable | |
BankCurrencyTransferLog_RU | BankCurrencyTransferLog_RU | |
BankDepositCancel | BankDeposit | |
BankPaymentOrderJour_RU | BankPaymentOrderJour_RU | |
BankPromissoryNoteTable | BankPromissoryNoteTable | |
BankRemittanceFilesCust | BankRemittanceFilesCust | |
BankRemittanceFilesVend | BankRemittanceFilesVend | |
BankRespWorker_RU | HcmWorker | |
BankSpecAccountId_RU | BankAccountTable | |
BankTransType | BankTransType | |
BankVendAccountId_RU | VendTable | |
BudgetSource | BudgetSource | |
CashDisc | CashDisc | |
CompanyLocation_IN | LogisticsLocation | |
Currency | Currency | |
Currency_RemitteeCurrency | Currency | |
CustBankAccount_FK | CustBankAccount | |
CustEPRemitInfo_BR | CustEPRemitInfo_BR | |
CustomsTariffCodeTable_IN | CustomsTariffCodeTable_IN | |
CustPaymMode | CustPaymModeTable | |
CustPaymModeSpec | CustPaymModeSpec | |
CustPostingProfile | CustLedger | |
CustTable_RU | CustTable | |
CustTable_W | CustTable | |
CustTrans | CustTrans | |
CustTransCashDisc | CustTransCashDisc | |
CustTransOpen | CustTransOpen | |
DataArea_AgreementCompany | DataArea | |
DataArea_Company | DataArea | |
DataArea_ForeignCompany | DataArea | |
DataArea_MarkedInvoiceCompany | DataArea | |
DataArea_OffsetAgreementCompany | DataArea | |
DataArea_OffsetCompany | DataArea | |
dataAreaId | DataArea | |
DebitCurrencyCode_LT | Currency | |
DefaultDimension | DimensionAttributeValueSet | |
EmplPostingProfile_RU | EmplLedger_RU | |
ExciseTariffCodes_IN | ExciseTariffCodes_IN | |
IntBank_LV | BankAccountTable | |
InvoiceDeclarationId_FK | VendInvoiceDeclaration_IS | |
LedgerDimension | DimensionAttributeValueCombination | |
LedgerJournalTable | LedgerJournalTable | |
LedgerJournalTable_TransferredTo | LedgerJournalTable | |
LedgerJournalTrans | LedgerJournalTrans | |
LedgerJournalTrans_FurtherPostingRecId | LedgerJournalTrans | |
LedgerJournalTrans_RevRecId | LedgerJournalTrans | |
LedgerJournalTransVATPaym_RU | LedgerJournalTrans | |
LedgerJournalTransVoucherTemplate | LedgerJournalTransVoucherTemplate | |
LedgerJournalTxt | LedgerJournalTxt | |
LedgerJournalTxtOffset | LedgerJournalTxt | |
LedgerPaymMode | VendPaymModeTable | |
LedgerVoucherType_CN | LedgerVoucherType_CN | |
LvOtherClients | LvOtherClients | |
MCRCCGeneralLegerId | LedgerJournalTable | |
MCRCustPaymTable | MCRCustPaymTable | |
OfficialsTrans_RU | OfficialsTrans_RU | |
OffsetAccountAgreementHeaderExt_RU | AgreementHeaderExt_RU | |
OffsetAccountAgreementId_RU | AgreementHeaderExt_RU | |
OffsetDefaultDimension | DimensionAttributeValueSet | |
OffsetLedgerDimension | DimensionAttributeValueCombination | |
OffsetPostingProfileCust_RU | CustLedger | |
OffsetPostingProfileEmpl_RU | EmplLedger_RU | |
OffsetPostingProfileRCash | RCashLedger | |
OffsetPostingProfileVend_RU | VendLedger | |
OffsetRCashDocRepresBankEmplId | EmployeeTable_RU | |
OffsetRCashDocRepresCustPersonId | ContactPerson | |
OffsetRCashDocRepresEmplId | EmployeeTable_RU | |
OffsetRCashDocRepresLedgerEmplId | EmployeeTable_RU | |
OffsetRCashDocRepresVendPersonId | ContactPerson | |
Partition | Partitions | |
PaymInstruction1 | PaymInstruction | |
PaymInstruction2 | PaymInstruction | |
PaymInstruction3 | PaymInstruction | |
PaymInstruction4 | PaymInstruction | |
PaymTerm | PaymTerm | |
PlCustVendVatRegNums | PlCustVendVatRegNums | |
PlTaxDueTable | PlTaxDueTable | |
PostingProfileRCash | RCashLedger | |
ProjJournalTxt | ProjJournalTxt | |
ProjJournalTxtOffset | ProjJournalTxt | |
ReasonRef | ReasonTableRef | |
RefCopyReverse_CN | LedgerJournalTrans | |
RemittanceAddress_FK | LogisticsPostalAddress | |
RemittanceLocation_FK | LogisticsLocation | |
SalesTaxFormTypes_IN | SalesTaxFormTypes_IN | |
ServiceCodeTable_IN | ServiceCodeTable_IN | |
TAMDeduction | TAMDeduction | |
Tax1099BoxDetail | Tax1099BoxDetail | |
Tax1099Fields | Tax1099Fields | |
Tax1099State | LogisticsAddressState | |
TaxCode | TaxTable | |
TaxGroup | TaxGroupHeading | |
TaxItemGroup | TaxItemGroupHeading | |
TaxServiceTariff | TaxServiceTariff | |
TaxTable | TaxTable | |
TaxWithholdAltVendorAccount | VendTable | |
TaxWithholdGroupHeading | TaxWithholdGroupHeading | |
TaxWithholdGroupHeadingTCS_IN | TaxWithholdGroupHeading | |
TaxWithholdGroupHeadingTDS_IN | TaxWithholdGroupHeading | |
TaxWithholdItemGroupHeading_TH | TaxWithholdItemGroupHeading_TH | |
TaxWithholdTable_IN | TaxWithholdTable | |
TransferCurrency_RU | Currency | |
UserInfo | UserInfo | |
VATOperationCodeTable_RU | VATOperationCodeTable_RU | |
VATTaxAgentVendAccount_RU | VendTable | |
VendBankAccount_FK | VendBankAccount | |
VendEPRemitInfo_BR | VendEPRemitInfo_BR | |
VendPaymentMode | VendPaymModeTable | |
VendPaymentModeCostJournal | VendPaymModeTable | |
VendPaymentModeSpec | VendPaymModeSpec | |
VendPaymentModeSpecCostJournal | VendPaymModeSpec | |
VendPostingProfile | VendLedger | |
VendPostingProfileCostJournal | VendLedger | |
VendTable_RU | VendTable | |
VendTable_W | VendTable | |
VendTrans | VendTrans | |
VendTransCashDisc | VendTransCashDisc |
Top
Indexes
Index | AllowDuplicates | Enabled | Fields |
---|---|---|---|
AccountAgreement_RUIdx | Yes | Yes | |
ApproverIdx | Yes | Yes | |
AssetToFromRecId_RU | Yes | Yes | |
BankAgreementExt_RUIdx | Yes | Yes | |
BankCurrencyTransferLog_RUIdx | Yes | Yes | |
BankRespWorkerId_RUIdx | Yes | Yes | |
BudgetSourceIdx | Yes | Yes | |
DEL_BankCentralBankPurchaseCur_RU_Idx | Yes | Yes | |
DEL_BankDepositNumIdx | Yes | Yes | |
DEL_Voucher_CNVoucherTypeId_CNRecIdx | Yes | Yes | |
DimensionAttributeValueCombinationIdx | Yes | Yes | |
DimensionAttributeValueCombinationIdx1 | Yes | Yes | |
DimensionAttributeValueSetIdx | Yes | Yes | |
DimensionAttributeValueSetIdx1 | Yes | Yes | |
FurtherPostingRecIdIdx | Yes | Yes | |
LedgerVoucherType_CNIdx | Yes | Yes | |
MCRInvoice | Yes | Yes | |
MCRPaymOrderID | Yes | Yes | |
NumVoucherIdx | Yes | Yes | |
OffsetAccountAgreement_RUIdx | Yes | Yes | |
PaymInstructionIdx1 | Yes | Yes | |
PaymInstructionIdx2 | Yes | Yes | |
PaymInstructionIdx3 | Yes | Yes | |
PaymInstructionIdx4 | Yes | Yes | |
PlTaxDueTableIdx | Yes | Yes | |
PoolRecId | Yes | Yes | |
RecId | No | Yes | |
RevRecIdIdx | Yes | Yes | |
Tax1099FieldsIdx | Yes | Yes | |
VendInvoiceDeclaration_ISIdx | Yes | Yes | |
VendTransIdx | Yes | Yes | |
VoucherTransdate | Yes | Yes |
Top
Inheritance Hierarchy
xRecord Class
Common Table
LedgerJournalTrans Table