1 | BankAccountStatement |
.AccountId |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
2 | BankAccountStatement |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
3 | BankAccountStatementTmp |
.AccountID |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
4 | BankAccountStatementTmp |
.BankTransType |
(Cash and bank management) |
‑‑‑> | BankTransType |
.BankTransType |
(Cash and bank management) |
5 | BankAccountStatementTmp |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
6 | BankAccountTable |
.BankConstantSymbol |
(Cash and bank management) |
‑‑‑> | BankConstantSymbol |
.RecId |
(Cash and bank management) |
7 | BankAccountTable |
.BankGroupId |
(Cash and bank management) |
‑‑‑> | BankGroup |
.BankGroupId |
(Cash and bank management) |
8 | BankAccountTable |
.BankReconMatchRuleManualMatch |
(Cash and bank management) |
‑‑‑> | BankReconciliationMatchRule |
.RecId |
(Cash and bank management) |
9 | BankAccountTable |
.BankReconMatchRuleManualReversal |
(Cash and bank management) |
‑‑‑> | BankReconciliationMatchRule |
.RecId |
(Cash and bank management) |
10 | BankAccountTable |
.BankReconciliationMatchRuleSet |
(Cash and bank management) |
‑‑‑> | BankReconciliationMatchRuleSet |
.RecId |
(Cash and bank management) |
11 | BankAccountTable |
.BankStatementFormat |
(Cash and bank management) |
‑‑‑> | BankStatementFormat |
.RecId |
(Cash and bank management) |
12 | BankAccountTable |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
13 | BankAccountTable |
.CustomerPaymentFeeLedgerDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
14 | BankAccountTable |
.InvoiceRemittanceLedgerDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
15 | BankAccountTable |
.LedgerDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
16 | BankAccountTable |
.RemittanceCollectionLedgerDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
17 | BankAccountTable |
.RemittanceDiscountLedgerDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
18 | BankAccountTable |
.DefaultDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
19 | BankAccountTable |
.LedgerJournalNameId |
(Cash and bank management) |
‑‑‑> | LedgerJournalName |
.JournalName |
(General ledger) |
20 | BankAccountTable |
.NsfLedgerJournalName, .Fky? |
(Cash and bank management) |
‑‑‑> | LedgerJournalName |
.JournalName, .Pky? |
(General ledger) |
21 | BankAccountTable |
.Location |
(Cash and bank management) |
‑‑‑> | LogisticsLocation |
.RecId |
(Sales and marketing) |
22 | BankAccountTable |
.NsfFeeMarkupGroupId, .Fky? |
(Cash and bank management) |
‑‑‑> | MarkupGroup |
.GroupId, .Pky? |
(Procurement and sourcing) |
23 | BankAccountTable |
.PaymOrderNumSeqId_W |
(Cash and bank management) |
‑‑‑> | NumberSequenceTable |
.NumberSequence |
(Server and Tools) |
24 | BankAccountTrans |
.AccountId |
(Cash and bank management) |
‑‑‑> | BankAccountStatement |
.AccountId |
(Cash and bank management) |
25 | BankAccountTrans |
.AccountId |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
26 | BankAccountTrans |
.RefRecId_RU |
(Cash and bank management) |
‑‑‑> | BankAccountTrans |
.RecId |
(Cash and bank management) |
27 | BankAccountTrans |
.PaymReference, .AccountId |
(Cash and bank management) |
‑‑‑> | BankBorderoTable_BR |
.BorderoSequenceNum, .AccountID |
(Global financial management - Latin America) |
28 | BankAccountTrans |
.CentralBankPurposeCode_LV |
(Cash and bank management) |
‑‑‑> | BankCentralBankPurpose |
.Code |
(Cash and bank management) |
29 | BankAccountTrans |
.ChequeNum, .AccountId |
(Cash and bank management) |
‑‑‑> | BankChequeTable |
.ChequeNum, .AccountID |
(Cash and bank management) |
30 | BankAccountTrans |
.DepositNum |
(Cash and bank management) |
‑‑‑> | BankDeposit |
.DepositNum |
(Cash and bank management) |
31 | BankAccountTrans |
.SourceTableId, .SourceRecId |
(Cash and bank management) |
‑‑‑> | BankDocumentTableView |
.SourceRelationType, .SourceRecId |
(Unknown module) |
32 | BankAccountTrans |
.BankTransType |
(Cash and bank management) |
‑‑‑> | BankTransType |
.BankTransType |
(Cash and bank management) |
33 | BankAccountTrans |
.BankTransCurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
34 | BankAccountTrans |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
35 | BankAccountTrans |
.LedgerDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
36 | BankAccountTrans |
.DefaultDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
37 | BankAccountTrans |
.CorrespondentCountry_LV |
(Cash and bank management) |
‑‑‑> | LogisticsAddressCountryRegion |
.CountryRegionId |
(Sales and marketing) |
38 | BankAccountTrans |
.ReasonRefRecID |
(Cash and bank management) |
‑‑‑> | ReasonTableRef |
.RecId |
(General ledger) |
39 | BankAccountTrans |
.TaxGroup |
(Cash and bank management) |
‑‑‑> | TaxGroupHeading |
.TaxGroup |
(Tax) |
40 | BankAccountTrans |
.TaxItemGroup |
(Cash and bank management) |
‑‑‑> | TaxItemGroupHeading |
.TaxItemGroup |
(Tax) |
41 | BankBillOfExchangeLayout |
.BankAccountId |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
42 | BankBillOfExchangeTable |
.BankAccountID |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
43 | BankBillOfExchangeTable |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
44 | BankBillOfExchangeTable |
.CustBillOfExchangeID |
(Cash and bank management) |
‑‑‑> | CustBillOfExchangeJour |
.BillOfExchangeId |
(Accounts Receivable) |
45 | BankBillOfExchangeTable |
.BeneficiaryAccountNum |
(Cash and bank management) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
46 | BankCashflowReportTmp |
.BAS_AccountId |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
47 | BankCashflowReportTmp |
.BAT_BankTransCurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
48 | BankCashflowReportTmp |
.BAS_CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
49 | BankCashflowReportTmp |
.BAT_CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
50 | BankCheckStatisticsTmp |
.AccountID |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
51 | BankCheckStatisticsTmp |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
52 | BankChequeLayout |
.AccountId |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
53 | BankChequeLayout |
.AccountId |
(Cash and bank management) |
‑‑‑> | BankChequeLayout |
.AccountId |
(Cash and bank management) |
54 | BankChequeLayout |
.CustomChequeLayout_BR |
(Cash and bank management) |
‑‑‑> | CustomChequeLayout_BR |
.RecId |
(Global financial management - Latin America) |
55 | BankChequePaymTrans |
.AccountId |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
56 | BankChequePaymTrans |
.ChequeNum, .AccountId |
(Cash and bank management) |
‑‑‑> | BankChequeTable |
.ChequeNum, .AccountID |
(Cash and bank management) |
57 | BankChequePaymTrans |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
58 | BankChequePaymTrans |
.InvoiceCompany, .Fky?, .InvoiceTransDate, .InvoiceVoucher |
(Cash and bank management) |
‑‑‑> | CustTrans |
.dataAreaId, .Pky?, .TransDate, .Voucher |
(Accounts Receivable) |
59 | BankChequePaymTrans |
.RecipientCompany, .Fky? |
(Cash and bank management) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
60 | BankChequePaymTrans |
.RemittanceAddress |
(Cash and bank management) |
‑‑‑> | LogisticsPostalAddress |
.RecId |
(Sales and marketing) |
61 | BankChequePaymTrans |
.InvoiceCompany, .Fky?, .InvoiceTransDate, .InvoiceVoucher |
(Cash and bank management) |
‑‑‑> | VendTrans |
.dataAreaId, .Pky?, .TransDate, .Voucher |
(Accounts Payable) |
62 | BankChequeReprints |
.AccountID |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
63 | BankChequeReprints |
.ChequeNum, .AccountID |
(Cash and bank management) |
‑‑‑> | BankChequePaymTrans |
.ChequeNum, .AccountId |
(Cash and bank management) |
64 | BankChequeReprints |
.AccountID, .ChequeNum |
(Cash and bank management) |
‑‑‑> | BankChequeTable |
.AccountID, .ChequeNum |
(Cash and bank management) |
65 | BankChequeReprints |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
66 | BankChequeReprints |
.Fky?, .RecipientAccountNum |
(Cash and bank management) |
‑‑‑> | CustTable |
.Pky?, .AccountNum |
(Sales and marketing) |
67 | BankChequeReprints |
.Fky?, .RecipientAccountNum |
(Cash and bank management) |
‑‑‑> | VendTable |
.Pky?, .AccountNum |
(Procurement and sourcing) |
68 | BankChequeTable |
.AccountID |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
69 | BankChequeTable |
.RecipientAccountNum, .Fky? |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID, .Pky? |
(Cash and bank management) |
70 | BankChequeTable |
.AccountID, .ChequeNum |
(Cash and bank management) |
‑‑‑> | BankChequeTable |
.AccountID, .ChequeNum |
(Cash and bank management) |
71 | BankChequeTable |
.TableId, .RecId |
(Cash and bank management) |
‑‑‑> | BankDocumentTableView |
.SourceRelationType, .SourceRecId |
(Unknown module) |
72 | BankChequeTable |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
73 | BankChequeTable |
.Fky?, .RecipientAccountNum |
(Cash and bank management) |
‑‑‑> | CustTable |
.Pky?, .AccountNum |
(Sales and marketing) |
74 | BankChequeTable |
.RecipientCompany, .Fky? |
(Cash and bank management) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
75 | BankChequeTable |
.RemittanceAddress |
(Cash and bank management) |
‑‑‑> | LogisticsPostalAddress |
.RecId |
(Sales and marketing) |
76 | BankChequeTable |
.ReasonRefRecID |
(Cash and bank management) |
‑‑‑> | ReasonTableRef |
.RecId |
(General ledger) |
77 | BankChequeTable |
.Fky?, .RecipientAccountNum |
(Cash and bank management) |
‑‑‑> | VendTable |
.Pky?, .AccountNum |
(Procurement and sourcing) |
78 | BankDeposit |
.AccountId |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
79 | BankDeposit |
.BankDepositDocument |
(Cash and bank management) |
‑‑‑> | BankDepositDocument |
.RecId |
(Cash and bank management) |
80 | BankDeposit |
.TableId, .RecId |
(Cash and bank management) |
‑‑‑> | BankDocumentTableView |
.SourceRelationType, .SourceRecId |
(Unknown module) |
81 | BankDeposit |
.BankTransType |
(Cash and bank management) |
‑‑‑> | BankTransType |
.BankTransType |
(Cash and bank management) |
82 | BankDeposit |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
83 | BankDeposit |
.BankTransCurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
84 | BankDeposit |
.CustAccount |
(Cash and bank management) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
85 | BankDeposit |
.RefRecId |
(Cash and bank management) |
‑‑‑> | CustTrans |
.RecId |
(Accounts Receivable) |
86 | BankDeposit |
.RefCompany, .Fky? |
(Cash and bank management) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
87 | BankDeposit |
.DefaultDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
88 | BankDeposit |
.ReasonRefRecID |
(Cash and bank management) |
‑‑‑> | ReasonTableRef |
.RecId |
(General ledger) |
89 | BankDepositByCustomerTmp |
.BankAccountID |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
90 | BankDepositByCustomerTmp |
.CustTable_CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
91 | BankDepositByCustomerTmp |
.CustTrans_CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
92 | BankDepositByCustomerTmp |
.CustAccount |
(Cash and bank management) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
93 | BankDepositByDateTmp |
.BankAccountID |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
94 | BankDepositByDateTmp |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
95 | BankDepositByDateTmp |
.CustAccount |
(Cash and bank management) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
96 | BankDocumentFacilityAgreement |
.BankAccountTable |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
97 | BankDocumentFacilityAgreementLine |
.BankDocumentFacilityAgreement |
(Cash and bank management) |
‑‑‑> | BankDocumentFacilityAgreement |
.RecId |
(Cash and bank management) |
98 | BankDocumentFacilityAgreementLine |
.BankDocumentFacilityType |
(Cash and bank management) |
‑‑‑> | BankDocumentFacilityType |
.RecId |
(Cash and bank management) |
99 | BankDocumentFacilityTmp |
.BankAccountTable |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
100 | BankDocumentFacilityTmp |
.BankAccountCurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
101 | BankDocumentFacilityType |
.BankDocumentFacilityGroup |
(Cash and bank management) |
‑‑‑> | BankDocumentFacilityGroup |
.RecId |
(Cash and bank management) |
102 | BankDocumentPosting |
.BankDocumentFacilityGroup |
(Cash and bank management) |
‑‑‑> | BankDocumentFacilityGroup |
.RecId |
(Cash and bank management) |
103 | BankDocumentPosting |
.BankDocumentFacilityType |
(Cash and bank management) |
‑‑‑> | BankDocumentFacilityType |
.RecId |
(Cash and bank management) |
104 | BankDocumentPosting |
.BankLGLiquidationLedgerDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
105 | BankDocumentPosting |
.MarginLedgerDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
106 | BankDocumentPosting |
.MiscChargesLedgerDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
107 | BankDocumentPosting |
.SettleLedgerDimension |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
108 | BankDocumentTable |
.RecId |
(Cash and bank management) |
‑‑‑> | BankDocumentTableView |
.RecId |
(Unknown module) |
109 | BankGroup |
.BaseBankId_RU |
(Cash and bank management) |
‑‑‑> | BankGroup |
.BankGroupId |
(Cash and bank management) |
110 | BankGroup |
.BankStatementFormat |
(Cash and bank management) |
‑‑‑> | BankStatementFormat |
.RecId |
(Cash and bank management) |
111 | BankGroup |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
112 | BankGroup |
.Location |
(Cash and bank management) |
‑‑‑> | LogisticsLocation |
.RecId |
(Sales and marketing) |
113 | BankGroup |
.VendAccountNum_RU |
(Cash and bank management) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
114 | BankLCExport |
.ExportAdvisingBank |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
115 | BankLCExport |
.RecId |
(Cash and bank management) |
‑‑‑> | BankLC |
.RecId |
(Cash and bank management) |
116 | BankLCExport |
.IssuingBank, .CustTable |
(Cash and bank management) |
‑‑‑> | CustBankAccount |
.AccountID, .CustAccount |
(Accounts Receivable) |
117 | BankLCExport |
.CustTable |
(Cash and bank management) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
118 | BankLCExport |
.SalesTable |
(Cash and bank management) |
‑‑‑> | SalesTable |
.SalesId |
(Procurement and sourcing) |
119 | BankLCExportDetailsSalesLineTmp |
.ItemId |
(Cash and bank management) |
‑‑‑> | InventTable |
.ItemId |
(Inventory and warehouse management) |
120 | BankLCExportDetailsShipmentTmp |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
121 | BankLCExportDetailsTmp |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
122 | BankLCExportLine |
.RecId |
(Cash and bank management) |
‑‑‑> | BankLCLine |
.RecId |
(Cash and bank management) |
123 | BankLCImport |
.BankDocumentFacilityAgreementLine |
(Cash and bank management) |
‑‑‑> | BankDocumentFacilityAgreementLine |
.RecId |
(Cash and bank management) |
124 | BankLCImport |
.RecId |
(Cash and bank management) |
‑‑‑> | BankLC |
.RecId |
(Cash and bank management) |
125 | BankLCImport |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
126 | BankLCImport |
.PurchTable |
(Cash and bank management) |
‑‑‑> | PurchTable |
.PurchId |
(Procurement and sourcing) |
127 | BankLCImport |
.ImportAdvisingBank, .VendTable |
(Cash and bank management) |
‑‑‑> | VendBankAccount |
.AccountID, .VendAccount |
(Procurement and sourcing) |
128 | BankLCImport |
.InsuranceVendTable |
(Cash and bank management) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
129 | BankLCImport |
.VendTable |
(Cash and bank management) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
130 | BankLCImportApplicationPurchLineTmp |
.ItemId |
(Cash and bank management) |
‑‑‑> | InventTable |
.ItemId |
(Inventory and warehouse management) |
131 | BankLCImportApplicationShipmentTmp |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
132 | BankLCImportApplicationTmp |
.BankAccountNumber |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
133 | BankLCImportApplicationTmp |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
134 | BankLCImportHistory |
.BankDocumentFacilityAgreementLine |
(Cash and bank management) |
‑‑‑> | BankDocumentFacilityAgreementLine |
.RecId |
(Cash and bank management) |
135 | BankLCImportHistory |
.BankLCImport |
(Cash and bank management) |
‑‑‑> | BankLCImport |
.RecId |
(Cash and bank management) |
136 | BankLCImportHistory |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
137 | BankLCImportHistory |
.ImportAdvisingBank, .VendTable |
(Cash and bank management) |
‑‑‑> | VendBankAccount |
.AccountID, .VendAccount |
(Procurement and sourcing) |
138 | BankLCImportHistory |
.VendTable |
(Cash and bank management) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
139 | BankLCImportHistory |
.InsuranceVendTable |
(Cash and bank management) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
140 | BankLCImportLine |
.RecId |
(Cash and bank management) |
‑‑‑> | BankLCLine |
.RecId |
(Cash and bank management) |
141 | BankLCImportLineHistory |
.BankLCImportHistory |
(Cash and bank management) |
‑‑‑> | BankLCImportHistory |
.RecId |
(Cash and bank management) |
142 | BankLCImportMargin |
.BankLCImport |
(Cash and bank management) |
‑‑‑> | BankLCImport |
.RecId |
(Cash and bank management) |
143 | BankLCImportMargin |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
144 | BankLCImportMarginAllocation |
.BankLCImportLine |
(Cash and bank management) |
‑‑‑> | BankLCImportLine |
.RecId |
(Cash and bank management) |
145 | BankLCImportMarginAllocation |
.BankLCImportMargin |
(Cash and bank management) |
‑‑‑> | BankLCImportMargin |
.RecId |
(Cash and bank management) |
146 | BankLCInfo |
.BankLC |
(Cash and bank management) |
‑‑‑> | BankLC |
.RecId |
(Cash and bank management) |
147 | BankLCLine |
.BankLC |
(Cash and bank management) |
‑‑‑> | BankLC |
.RecId |
(Cash and bank management) |
148 | BankLGAction |
.Guarantee |
(Cash and bank management) |
‑‑‑> | BankLGGuarantee |
.RecId |
(Cash and bank management) |
149 | BankLGAction |
.LedgerJournalTable |
(Cash and bank management) |
‑‑‑> | LedgerJournalTable |
.JournalNum |
(General ledger) |
150 | BankLGAction |
.CancellationReason |
(Cash and bank management) |
‑‑‑> | ReasonTable |
.Reason |
(General ledger) |
151 | BankLGFacilityAgreementLine |
.BankDocumentFacilityAgreementLine |
(Cash and bank management) |
‑‑‑> | BankDocumentFacilityAgreementLine |
.RecId |
(Cash and bank management) |
152 | BankLGFacilityAgreementLine |
.CashMarginCalc |
(Cash and bank management) |
‑‑‑> | BankLGAmountCalculation |
.RecId |
(Cash and bank management) |
153 | BankLGFacilityAgreementLine |
.DecreaseValueCommissionCalc |
(Cash and bank management) |
‑‑‑> | BankLGAmountCalculation |
.RecId |
(Cash and bank management) |
154 | BankLGFacilityAgreementLine |
.ExtensionCommissionCalc |
(Cash and bank management) |
‑‑‑> | BankLGAmountCalculation |
.RecId |
(Cash and bank management) |
155 | BankLGFacilityAgreementLine |
.IncreaseValueCommissionCalc |
(Cash and bank management) |
‑‑‑> | BankLGAmountCalculation |
.RecId |
(Cash and bank management) |
156 | BankLGFacilityAgreementLine |
.IssuanceCommissionCalc |
(Cash and bank management) |
‑‑‑> | BankLGAmountCalculation |
.RecId |
(Cash and bank management) |
157 | BankLGGuarantee |
.FacilityAgreementLine |
(Cash and bank management) |
‑‑‑> | BankDocumentFacilityAgreementLine |
.RecId |
(Cash and bank management) |
158 | BankLGGuarantee |
.CurrentAction |
(Cash and bank management) |
‑‑‑> | BankLGAction |
.RecId |
(Cash and bank management) |
159 | BankLGGuarantee |
.Number |
(Cash and bank management) |
‑‑‑> | BankLGGuarantee |
.Number |
(Cash and bank management) |
160 | BankLGGuarantee |
.CancellationReason |
(Cash and bank management) |
‑‑‑> | ReasonTable |
.Reason |
(General ledger) |
161 | BankLGGuarantee |
.RequestReason |
(Cash and bank management) |
‑‑‑> | ReasonTable |
.Reason |
(General ledger) |
162 | BankLGGuaranteeCustomerSalesOrder |
.Guarantee |
(Cash and bank management) |
‑‑‑> | BankLGGuarantee |
.RecId |
(Cash and bank management) |
163 | BankLGGuaranteeCustomerSalesOrder |
.CustomerSalesOrder |
(Cash and bank management) |
‑‑‑> | SalesTable |
.SalesId |
(Procurement and sourcing) |
164 | BankLGGuaranteeProject |
.Guarantee |
(Cash and bank management) |
‑‑‑> | BankLGGuarantee |
.RecId |
(Cash and bank management) |
165 | BankLGGuaranteeProject |
.Project |
(Cash and bank management) |
‑‑‑> | ProjTable |
.ProjId |
(Project management and accounting) |
166 | BankLGGuaranteePurchaseOrder |
.Guarantee |
(Cash and bank management) |
‑‑‑> | BankLGGuarantee |
.RecId |
(Cash and bank management) |
167 | BankLGGuaranteePurchaseOrder |
.PurchaseOrder |
(Cash and bank management) |
‑‑‑> | PurchTable |
.PurchId |
(Procurement and sourcing) |
168 | BankLGGuaranteeSalesQuotation |
.Guarantee |
(Cash and bank management) |
‑‑‑> | BankLGGuarantee |
.RecId |
(Cash and bank management) |
169 | BankLGGuaranteeSalesQuotation |
.SalesQuotation |
(Cash and bank management) |
‑‑‑> | SalesQuotationTable |
.QuotationId |
(Procurement and sourcing) |
170 | BankParameters |
.NSFTransactionType |
(Cash and bank management) |
‑‑‑> | BankTransType |
.BankTransType |
(Cash and bank management) |
171 | BankParameters |
.IssueClearingPDC |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
172 | BankParameters |
.ReceiptClearingPDC |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
173 | BankParameters |
.WHTClearingPDC |
(Cash and bank management) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
174 | BankParameters |
.Fky?, .ImportedPaymentJournalName_RU |
(Cash and bank management) |
‑‑‑> | LedgerJournalName |
.Pky?, .JournalName |
(General ledger) |
175 | BankParameters |
.Fky?, .Fky?, .Fky?, .BankLGJournalName |
(Cash and bank management) |
‑‑‑> | LedgerJournalName |
.Pky?, .Pky?, .Pky?, .JournalName |
(General ledger) |
176 | BankParameters |
.GeneralJournalNamePDC |
(Cash and bank management) |
‑‑‑> | LedgerJournalName |
.JournalName |
(General ledger) |
177 | BankParameters |
.VendPaymentJournalPDC |
(Cash and bank management) |
‑‑‑> | LedgerJournalName |
.JournalName |
(General ledger) |
178 | BankPaymAdviceChequeTmp |
.BankAccount |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
179 | BankPaymAdviceChequeTmp |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
180 | BankPaymAdviceChequeTmp |
.ChequeCurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
181 | BankPaymAdviceChequeTmp |
.CustAccount |
(Cash and bank management) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
182 | BankPaymAdviceChequeTmp |
.InvoiceCompany, .Fky? |
(Cash and bank management) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
183 | BankPaymAdviceChequeTmp |
.VendAccount |
(Cash and bank management) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
184 | BankPaymAdviceCustTmp |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
185 | BankPaymAdviceCustTmp |
.SettledCurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
186 | BankPaymAdviceVendTmp |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
187 | BankPaymAdviceVendTmp |
.SettledCurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
188 | BankPromissoryNoteLayout |
.BankAccountId |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
189 | BankPromissoryNoteTable |
.BankAccountID |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
190 | BankPromissoryNoteTable |
.CurrencyCode |
(Cash and bank management) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
191 | BankPromissoryNoteTable |
.VendPromissoryNoteID |
(Cash and bank management) |
‑‑‑> | VendPromissoryNoteJour |
.PromissoryNoteId |
(Accounts Payable) |
192 | BankPromissoryNoteTable |
.BeneficiaryAccountNum |
(Cash and bank management) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
193 | BankReconciliationDocumentOpenTmp |
.BankDocumentTableView |
(Cash and bank management) |
‑‑‑> | BankDocumentTableView |
.RecId |
(Unknown module) |
194 | BankReconciliationHeader |
.AccountId |
(Cash and bank management) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
195 | BankReconciliationHeader |
.RecId |
(Cash and bank management) |
‑‑‑> | BankReconciliationHeader |
.RecId |
(Cash and bank management) |
196 | BankReconciliationHeader |
.InUseBy |
(Cash and bank management) |
‑‑‑> | UserInfo |
.id |
(Unknown module) |
197 | BankReconciliationHistoryDetails |
.BankDocumentTable |
(Cash and bank management) |
‑‑‑> | BankDocumentTable |
.RecId |
(Cash and bank management) |
198 | BankReconciliationHistoryDetails |
.BankReconciliationHeader |
(Cash and bank management) |
‑‑‑> | BankReconciliationHeader |
.RecId |
(Cash and bank management) |
199 | BankReconciliationHistoryDetails |
.BankStmtISOReportEntry |
(Cash and bank management) |
‑‑‑> | BankStmtISOReportEntry |
.RecId |
(Cash and bank management) |
200 | BankReconciliationMatching |
.BankReconciliationHeader |
(Cash and bank management) |
‑‑‑> | BankReconciliationHeader |
.RecId |
(Cash and bank management) |
201 | BankReconciliationMatching |
.CancelledBy |
(Cash and bank management) |
‑‑‑> | UserInfo |
.id |
(Unknown module) |