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BR_CustomSetting

Purpose    

Records the Custom Field Settings that have been added to the Bank Reconciliation.

Path         

General  Ledger Cash Book Bank Reconciliation

Name

Type

Linked To/Supplied

SettingID char (36)

 

LastSavedDateTime datetime  
SettingDescription varchar (255)  
SettingName varchar (255)  
DisplayOrder float  
CellType smallint  
ScriptFormatCell text  
ScriptButtonClicked text  
ScriptReadData text  

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