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ReleaseUpdateTransformDB40_Bank.bankStatementReconciledValidate Upgrade Script

Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2

Class

ReleaseUpdateTransformDB40_Bank

Method

bankStatementReconciledValidate

Description

Validate whether all the BankAccountStatement and BankStatementTrans_CN are reconciled when parameter ExtendedBankReconciliation_CN is enabled.

Script Type

Upgrade readiness scripts

Ax Version

4.01

Affected Modules and Tables

Affected Modules

Bank

Validation Issues

Validation Issues Description

Validate whether all the BankAccountStatement and BankStatementTrans_CN are reconciled when parameter ExtendedBankReconciliation_CN is enabled.

Checked Conditions

bankAccountStatement.ReconcileDate = 1900/1/1.

Mitigation/How-to-fix

reconcile the bank account statements.