I am trying to determine how i might use IM to create an integration for updating vendor EFT banking information. Is this possible using Integration manager? I see how I can do this from a .csv in SQL but I am wanting the end user to be able to run this.
Thank you
Mark
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It is possible. You will need a bit of VBScript in the IM After Document event to add the extra bit to the SY06000 table. Take a look at my article Integration Manager: Integrating journal entries with Analytical Accounting Information. While the article refers to Journal Entries, the technique is the same for what you are trying to achieve.
Almas Mahfooz
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User Group Leader