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Last replied Posted on by .. 1,081
Hi, I have a custom table1 with the following fields Id name id1 name1 id2 &nbs...
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Last replied Posted on by .. 1,081
Hi, how to check formDataSource? [FormDataSourceEventHandler(formDataSourceStr(ProjSalesItemReq, SalesLine), FormDataSourceEventType::Initializ...
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Last replied Posted on by .. 1,081
Hi, can we use "register override method" when overriding lookup for reference group? if yes then how?
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Posted on by CU05121745-0 2
I’m working on an event where we’re customizing pahare (glasses) for guests. We need to track orders in real-time and update our inventory as we go....
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Last replied Posted on by JE-20081519-0 243
Hi: Doesn't the "Qty. to Receive" field on the Purchase Order fill in automatically, or do you have to always manually fill it in? ...
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Last replied Posted on by CU12122320-0 4
How to export data from gl account in excel file for multiple compagnie Filed needed (no ,name,netchange) I did the report but it ta...
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Posted on by Veronica Beltran 22
Dear friends, good morning, in the Consolidation Module with several companies that share the same chart of accounts, it is feasible to carry out a ...
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Posted on by CU23091914-1 14
Hi All, I have the 3 questions: 1. In the Release products list page, how do you know which item is a finished goods item? For material, I s...
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Last replied Posted on by Kareem 16
So I am trying to add some custom fields to Ledger Journal DP and I am using COC to do this as this code showing: in this case the original...
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Last replied Posted on by Taylor_Greenwood 370
We seem to always have a lot of unmatched transactions when we use the Reconcile to GL utility. When going through the BR module for example, the SL...
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