AssetBookTable.getFiscalCalendar_JP Method
Determines the value of the Fiscal Calendar that is associated on the value model.
If the value is not specified on the table, the value specified on the Ledger table is retrieved.
Syntax
public RefRecId getFiscalCalendar_JP(AssetTransDate _date)
Run On
Called
Parameters
- _date
Type: AssetTransDate Extended Data Type
The date.
Return Value
Type: RefRecId Extended Data Type
Returns the RecId of the fiscal calendar.