
Please note that I have also posted this question at Mibuso so will try to keep any replies in sync (http://mibuso.com/forum/viewtopic.php?f=11&t=52777).
Hi all,
Been using NAV for years but now working on my AX skill set.
I've configured the system to use the AIF framework to automatically export an XML file of the InventTrans record on Insert using the InventoryTransactionService AXD.
However what I have discovered is that even by creating a Adjustment Journal Line AX will generate an InventTrans record.
What I really need to do is generate the AIF export into the Queue when the physical inventory is posted either -Ve or +ve.
I've been working around the posting routines and looking at other tables including the InventSum, but am still a little lost as to the best place to put my AIF generation trigger.
Anyone happen to be able to recommend the best place to look at for placing this call?
many thanks
t
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I have the same question (0)When an inventory tranaction is posted the Physical date is updated. There are also various status updates but that's the simplest rule. Some transactions (purchase order, sales order, production order) can have subsequent Financial postings as well.