Records the Custom Field Setting Values that have been selected or entered to each Bank Reconciliation where applicable.
General Ledger Cash Book Bank Reconciliation
Name |
Type |
Linked To/Supplied |
SettingValueID | char (36) |
|
SettingID | char (36) | |
BankRecID | char (36) | |
Contents | varchar (255) | |
LastSavedDateTime | datetime |
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