Functionality to Export an already created Bank Export Batch.

Methods

Name Description
Cancel Cancels the currently executing process.
Clear Clears this object and sets all of its properties to their defaults.
Execute Perform the Export.
GetExportTypeProperties Get Export Type Properties.
RefreshFromBankAccountServiceObject Refresh properties from a Bank Account Service.
Validate Validate this object's properties are correct for the specified Export Type.

Properties

Name Description
AuthorisationCode The Authorisation Code used by the Export if applicable.
BankExportId The Id of Bank Export Batch to Export.
BankExportPk The primary key of this Log's BankExport.
BatchCode The Batch Code used by the Export if applicable.
BatchSequence The Batch Sequence used by the Export if applicable.
CompanyName The Company Name that Transactions are being exported from.
DateTransfer The date the Export Batch should be Processed/ Transferred on.
DeleteFromWebServicesUser System Use Only Used in conjunction with 'RangeShareToUserIds'. If sharing to other Users, this determines if the Export File should be deleted from the Web Services User.
ExportAccountNumber The Bank Account Number that Transactions are being exported from.
ExportAccountSortCode The Bank Account Sort Code that Transactions are being exported from.
ExportBankNameShort The Short Name of the Bank from which Transactions are being exported.
ExportCode The Code relating to the Export Bank Account to include in the Export if supported.
ExportParticulars The Particulars relating to the Export Bank Account to include in the Export if supported.
ExportReference The Reference relating to the Export Bank Account to include in the Export if supported.
ExportType Read-Only
FileName The File Name to Export from if this is a file-based Export.
IncludeReversed When re-exporting Bank Transactions should Reversed Transactions be included?
IsCancelled Read-Only Indicates whether the Account Disbursement Payments process was cancelled.
RangeShareToUserIds System Use Only Used by Scheduled Processes in Web Services. If saving the Export File to a finPOWER Connect Cloud Export Package, which Users to share it to.
ScheduledProcessAttachFile If sending summary emails via a Scheduled Process. This indicates whether to attach the export file to the email.
ScriptId The Id of the Script used to handle Bank Export events.
ScriptPk The primary key of the Script used to handle Bank Export events.
Tag The Tag property can be used to attach another value or object to this object.
TransactionCode The Transaction Code to use for services that support a Transaction Code.
UserName The User Name used by the Export if applicable.
Namespace:
Intersoft.finSupport6
Assembly:
finSupport6, Version=6.0.3
Target Framework:
.NET 9.0