hi,
acctually we have 4 account in the table "currency" (Unrealized Gains Acc.,Realized Gains Acc.,Unrealized Losses Acc.,Realized Losses Acc.) without difference between customer or vendor or bank.i want to have 12 account:
- 4 account (Unrealized Gains Acc.,Realized Gains Acc.,Unrealized Losses Acc.,Realized Losses Acc.) for customer
- 4 account (Unrealized Gains Acc.,Realized Gains Acc.,Unrealized Losses Acc.,Realized Losses Acc.) for vendor
- 4 account (Unrealized Gains Acc.,Realized Gains Acc.,Unrealized Losses Acc.,Realized Losses Acc.) for bank
anyone can tell me how i can do this and give me the name of all element that are included in this projet(codeunit,report,table)? ](*,)
thanks.
0
Comments
If that's not desired, then you will need to get your solution provider involved and getting you a quote for this mod.
AP Commerce, Inc. = where I work
Getting Started with Dynamics NAV 2013 Application Development = my book
Implementing Microsoft Dynamics NAV - 3rd Edition = my 2nd book
thanks.
Is there any reason why you're not asking your Navision partner? If trust is an issue, then contact your local MS regional office and ask them for a list of Navision partners in your area.
AP Commerce, Inc. = where I work
Getting Started with Dynamics NAV 2013 Application Development = my book
Implementing Microsoft Dynamics NAV - 3rd Edition = my 2nd book