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BR_CustomSettingValues

Purpose    

Records the Custom Field Setting Values that have been selected or entered to each Bank Reconciliation where applicable.

Path         

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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