The cust. Ledger Entry table stores informations from Sales documents, posts over journals, Reminders, etc (all posts with a customer).
Ever if you post some "lines" for a customer, NAV will create a Cust. Ledger Entry.
The Detaul cust. Ledger Entry table stores all infomation based on a Cust. Ledger Entry. This could be "Applies", adjustments, payment discounts, realized and unrealized losses and gains, etc.
For more infomations you can also read the OnlineHelp. Open the Cust. Ledger Entry form and press there the HELP button (right bottom).
Now the Help form is opened and there is all explained.
Comments
Ever if you post some "lines" for a customer, NAV will create a Cust. Ledger Entry.
The Detaul cust. Ledger Entry table stores all infomation based on a Cust. Ledger Entry. This could be "Applies", adjustments, payment discounts, realized and unrealized losses and gains, etc.
For more infomations you can also read the OnlineHelp. Open the Cust. Ledger Entry form and press there the HELP button (right bottom).
Now the Help form is opened and there is all explained.
Regards