ReleaseUpdateTransformDB50_Cust.validateCustLedgerAccounts Upgrade Script
Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2, Microsoft Dynamics AX 2012 Feature Pack, Microsoft Dynamics AX 2012
Class |
ReleaseUpdateTransformDB50_Cust |
Method |
validateCustLedgerAccounts |
Description |
Validates whether the account and dimension reference data is in place for the account and dimension fields in the table. |
Script Type |
Upgrade readiness scripts |
Microsoft Dynamics AX Source AX |
Microsoft Dynamics AX 4.0 Microsoft Dynamics AX 2009 |
Affected Modules and Tables
Affected Modules |
---|
Accounts receivable |
Validation Issues | |
---|---|
Validation Issues Description |
Validates the ClearingAccount field. |
Checked Conditions |
Verifies that the ClearingAccount values exist in the LedgerTable table. |
Mitigation/How-to-fix |
Create the corresponding LedgerTable record or update the reference in the CustLedgerAccounts table. |
Validation Issues Description |
Validates the LiabilitiesForDiscountAccount field. |
Checked Conditions |
Verifies that the LiabilitiesForDiscountAccount values exist in the LedgerTable table. |
Mitigation/How-to-fix |
Create the corresponding LedgerTable record or update the reference in the CustLedgerAccounts table. |
Validation Issues Description |
Validates the SumAccount field. |
Checked Conditions |
Verifies that the SumAccount values exist in the LedgerTable table. |
Mitigation/How-to-fix |
Create the corresponding LedgerTable record or update the reference in the CustLedgerAccounts table. |
Validation Issues Description |
Validates the VATprepaymentsAccount field. |
Checked Conditions |
Verifies that the VATprepaymentsAccount values exist in the LedgerTable table. |
Mitigation/How-to-fix |
Create the corresponding LedgerTable record or update the reference in the CustLedgerAccounts table. |