I need to implement the following:
When some custom fields on ledgerJournalTrans are filled then
additional posting is done in another table - similar to LedgerTrans,
but extended with the same fields as LedgerJournalTrans.
This posting should be done only for main LedgerAccount, not for Offset.
Think of it as simple ledger for posting transactions connected with
some kind of projects.
I need some hints where to start. Do I need to transport these
additional fields on lines down to LedgerVoucherTransObject?
Where to insert on my additional "ledgerTrans" table?
JR
SPONSORED LINKS
| Computer part | Programming languages | Microsoft axapta |
| Support exchange |
YAHOO! GROUPS LINKS
- Visit your group "development-axapta" on the web.
- To unsubscribe from this group, send an email to:
[EMAIL PROTECTED]
- Your use of Yahoo! Groups is subject to the Yahoo! Terms of Service.

