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https://issues.apache.org/jira/browse/OFBIZ-5945?page=com.atlassian.jira.plugin.system.issuetabpanels:comment-tabpanel&focusedCommentId=14272635#comment-14272635
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Christian Carlow commented on OFBIZ-5945:
-----------------------------------------

Hey Jacques,

To reproduce, transaction records have to be associated with the 
glReconciliation:
1.  Navigate to Accounting->Financial Account->Reconciliation
2.  Click "Create New Financial Account Reconciliations" and create a 
glReconciliation and copy the glReconciliationId
3.  Navigate to Accounting->Financial Account->Transactionsgl
4.  Click "Create New" and create a new transaction with glReconciliationId set 
to the one created in step 2
5.  Navigate to Accounting->Financial Account->Reconciliation again and an 
error should appear about finAccountTrans.entryDateId not being a valild field

I'm not exactly sure how all of the functionality works in Financial Accounts.  
I encountered the issue while trying to learn how to use it.  I find it odd 
that reconciliations are only listed on the page in step 5 if transactions have 
been related to them.

> GlReconciledFinAccountTrans.ftl finAccountTrans.entryDateId should be 
> finAccountTrans.entryDate
> -----------------------------------------------------------------------------------------------
>
>                 Key: OFBIZ-5945
>                 URL: https://issues.apache.org/jira/browse/OFBIZ-5945
>             Project: OFBiz
>          Issue Type: Bug
>          Components: accounting
>    Affects Versions: Trunk
>            Reporter: Christian Carlow
>            Priority: Minor
>         Attachments: OFBIZ-5945.patch
>
>
> An error is thrown at accounting/control/FindFinAccountReconciliation for 
> finAccountTrans.entryDateId because the field is supposed to be 
> finAccountTrans.entryDate.



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