Hello all ,
My requirement is to add a custom field in
Fixed Asset (5600) and
Gen. Journal Line (81) ,
Fixed Asset G/L Journal (5628, Worksheet) ,
and when clicked on post action in Fixed Asset G/L Journal (5628, Worksheet) the custom field need to flow into the following tables
1.G/L Entry (17)
2.FA Ledger Entry (5601)
what is the exact flow and what are the codeunit involved and what are the procedures or events to subscribe and assign the value of the custom fields.
Thank you ,
Regards
Nitish.