Functionality to Create a General Ledger Export Batch.

Methods

Name Description
Clear Clears this object and sets all of its properties to their defaults.
Execute Create a GL Export Batch.
GLExportIdDefault Sets a default GL Export Id using the format defined in Global Settings.

Properties

Name Description
AccountingLedgersDateTo The Date to process Accounting Ledger Transactions To.
BankSuspenseItemsDateTo The Date to process Bank Suspense Items To.
BankTransactionsDateTo The Date to process Bank Transactions To.
DisbursementTransactionsDateTo System Use Only Obsolete
EntityId The Id of the Entity to filter by.
EntityPk The primary key of the Entity to filter by.
GlExportId The Id to assign to the GL Export Batch.
GlExportPk Read-Only The Pk of the GL Export Batch created.
GstAccount The GST Account.
JournalTransactionsDateTo The Date to process Journal Transactions To.
Notes Notes to record against the GL Export Batch.
ProcessAccountingLedgers Indicates whether to Process Accounting Ledger Transactions.
ProcessBankSuspenseItems Indicates whether to Process Bank Suspense Items.
ProcessBankTransactions Indicates whether to Process Bank Transactions.
ProcessDisbursementTransactions System Use Only Obsolete
ProcessJournalTransactions Indicates whether to Process Journal Transactions.
RecordCount Read-Only
ScheduledProcessRunExportImmediately System Use Only When running as a Scheduled Process via Web Services, determines whether the Export should immediately occur once the Batch has been created.
Namespace:
Intersoft.finSupport6
Assembly:
finSupport6, Version=6.0.3
Target Framework:
.NET 9.0