Get the Account Balances and Overdue values.

This will also set the New Balances to the existing ones.

Syntax

finAccountBalanceAdjustment.GetAccountBalances(dateAsAt)

Parameters

NameTypeOptionalByRefDescription
dateAsAt Date The Balance Adjustment date.

Return Value

Boolean

A Boolean value indicating success.

Member of:
finAccountBalanceAdjustment
Namespace:
Intersoft.finSupport6
Assembly:
finSupport6, Version=6.0.3
Target Framework:
.NET 9.0