AR02012010
AR02022010
AR02032010
AR02042010
AR02052010
This would facilitate analysis by day and to make sure control totals matched those created on a daily basis.
The solution involves adding a field script to the batch ID field which in turn reads the transaction date field from the source query and forms the new batch ID with that information:

Very simple, but useful script. Keep in mind that you must enable the option to Add Missing batches for the integration as shown below:

When the integration is executed, it will create as many AR batches in Microsoft Dynamics GP as unique transaction dates there are in the file.
Until next post!
MG.-
Mariano Gomez, MVP
Maximum Global Business, LLC
http://www.maximumglobalbusiness.com/
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