Unified Operations & Dynamics AX Forum

  • 1.  Bank Transfer

    Posted Nov 28, 2018 11:21 AM

    How would you handle the following   in AX 2012  RTM.  How would I handle  when a check is voided in our old bank account  and a check is  reissue in our new bank account.     I

    Sylvia Hall
    Credit Analyst
    Mott Corporation
    Farmington CT

If you've found this thread useful, dive deeper into User Group community content by role