| 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. |
| 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. |