Account Disbursements Payout Reconciliation (Version 1.01, Last updated 23/11/2017).

<para> Used in the Accounts form, Disbursements page. </para> <para> Returns the following Summary Tables: <list> <item><code>Main</code><description>Main details.</description></item> </list> </para> <para> The following Constants are used from ScriptInfo: <list> <item>None</item> </list> </para> <para> The following Constants are used from callerScriptInfo: <list> <item>None</item> </list> </para>

Syntax

finSummaryPageStandardBlocksBase.Account_Disbursements_PayoutReconciliation(callerScriptInfo, account, [includeActions], [otherParameters])

Parameters

NameTypeOptionalByRefDescription
callerScriptInfo ISScriptExecutionInfo The Script Information of the Script calling this method.
account finAccount The Account to print a Disbursement Payout Reconciliation for.
includeActions Boolean Optional Indicates whether to Include Actions with the Summary Tables. If omitted, a value of True is assumed.
otherParameters ISKeyValueList Optional Can be used when customising Summary Page Blocks to pass other parameter to the Script. If omitted, a value of Nothing is assumed.

Return Value

ISSummaryTables

An ISSummaryTables object.

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