ReleaseUpdateDB60_Payroll.updateLedgerJournalTransPayrollDisburse Upgrade Script
Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2
Class |
ReleaseUpdateDB60_Payroll |
Method |
updateLedgerJournalTransPayrollDisburse |
Description |
Inserts records into the LedgerJournalTransPayrollDisbursement table from the LedgerJournalTrans, PRLEmployeePayElementsTransPosted, and DEL_PRLEmplBankAccount tables. |
Affected Modules and Tables
Affected Modules |
---|
Payroll |
Affected Tables |
---|
LedgerJournalTransPayrollDisbursement |
LedgerJournalTrans |
PRLEmployeePayElementsTransPosted |
DEL_PRLEmplBankAccount |
Remarks
Inserts records into the LedgerJournalTransPayrollDisbursement table from the LedgerJournalTrans, PRLEmployeePayElementsTransPosted, and DEL_PRLEmplBankAccount tables. The PayStatement field is the record ID of the posted payment, the RecId field is the LedgerJournalTrans record ID of that posted transaction and the WorkerBankAccount value is the bank account record ID where there exists a PRLDDNumber and CustVendBankAccountId value in the LedgerJournalTrans table.
Data Migration Section
From Table: PRLEmployeePayElementsTransPosted |
To Table: LedgerJournalTransPayrollDisbursement |
---|---|
del_MappingRecId |
PayStatement |
From Table: LedgerJournalTrans |
To Table: LedgerJournalTransPayrollDisbursement |
---|---|
RecId |
RefRecId |
From Table: DEL_PRLEmplBankAccount |
To Table: LedgerJournalTransPayrollDisbursement |
---|---|
WorkerBankAccount |
WorkerBankAccount |