| 602 | CustPaymModeFeeInterval |
.RefRecId |
(Accounts Receivable) |
‑‑‑> | CustPaymModeFee |
.RecId |
(Accounts Receivable) |
| 603 | CustPaymModeSpec |
.CustEinvoiceTable |
(Accounts Receivable) |
‑‑‑> | CustEinvoiceTable |
.RecId |
(Global financial management - Western Europe) |
| 604 | CustPaymModeSpec |
.PaymMode |
(Accounts Receivable) |
‑‑‑> | CustPaymModeTable |
.PaymMode |
(Accounts Receivable) |
| 605 | CustPaymModeSpec |
.EPPaymentType_BR |
(Accounts Receivable) |
‑‑‑> | EPPaymentTypeTable_BR |
.PaymentType |
(Global financial management - Latin America) |
| 606 | CustPaymModeSpec |
.EPPaymentWay_BR |
(Accounts Receivable) |
‑‑‑> | EPPaymentWayTable_BR |
.PaymentWay |
(Global financial management - Latin America) |
| 607 | CustPaymModeSpec |
.EPSegment_BR |
(Accounts Receivable) |
‑‑‑> | EPSegmentTable_BR |
.EPSegment_BR |
(Global financial management - Latin America) |
| 608 | CustPaymModeSpec |
.EPSegmentReturn_BR |
(Accounts Receivable) |
‑‑‑> | EPSegmentTable_BR |
.EPSegment_BR |
(Global financial management - Latin America) |
| 609 | CustPaymModeTable |
.BankClientDocumentTypeId_RU |
(Accounts Receivable) |
‑‑‑> | BankClientDocumentType_RU |
.TypeId |
(Global financial management - Russia) |
| 610 | CustPaymModeTable |
.BankCustPaymIdTable |
(Accounts Receivable) |
‑‑‑> | BankCustPaymIdTable |
.RecId |
(Global financial management - Western Europe) |
| 611 | CustPaymModeTable |
.BankTransType |
(Accounts Receivable) |
‑‑‑> | BankTransType |
.BankTransType |
(Cash and bank management) |
| 612 | CustPaymModeTable |
.ExportLayoutGroupId_BR |
(Accounts Receivable) |
‑‑‑> | ConfLayoutGroups_BR |
.LayoutGroupId |
(Global financial management - Latin America) |
| 613 | CustPaymModeTable |
.DimensionAttributeSet |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeSet |
.RecId |
(General ledger) |
| 614 | CustPaymModeTable |
.InterCompanyLedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 615 | CustPaymModeTable |
.PaymentLedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 616 | CustPaymModeTable |
.ExportLayoutGroupId_BR |
(Accounts Receivable) |
‑‑‑> | EPRemitOccCodes_BR |
.LayoutGroupId |
(Global financial management - Latin America) |
| 617 | CustPaymModeTable |
.ReturnLayoutGroupId_BR |
(Accounts Receivable) |
‑‑‑> | EPRetOccCodes_BR |
.LayoutGroupId |
(Global financial management - Latin America) |
| 618 | CustPaymModeTable |
.PaymJournalNameId |
(Accounts Receivable) |
‑‑‑> | LedgerJournalName |
.JournalName |
(General ledger) |
| 619 | CustPaymModeTable |
.NumberSequenceTable_LT |
(Accounts Receivable) |
‑‑‑> | NumberSequenceTable |
.RecId |
(Server and Tools) |
| 620 | CustPaymModeTable |
.Fky? |
(Accounts Receivable) |
‑‑‑> | RCashTable |
.Pky? |
(Global financial management - Russia) |
| 621 | CustPaymSched |
.ExtTableId, .ExtRecId |
(Accounts Receivable) |
‑‑‑> | CustBillOfExchangeJour |
.TableId, .RecId |
(Accounts Receivable) |
| 622 | CustPaymSched |
.ExtTableId, .ExtRecId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.TableId, .RecId |
(Accounts Receivable) |
| 623 | CustPaymSched |
.ExtTableId, .ExtRecId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTable |
.TableId, .RecId |
(Accounts Receivable) |
| 624 | CustPaymSched |
.Name |
(Accounts Receivable) |
‑‑‑> | PaymSched |
.Name |
(Accounts Payable) |
| 625 | CustPaymSched |
.ExtTableId, .ExtRecId |
(Accounts Receivable) |
‑‑‑> | ProjProposalJour |
.TableId, .RecId |
(Project management and accounting) |
| 626 | CustPaymSched |
.ExtRecId, .ExtTableId |
(Accounts Receivable) |
‑‑‑> | SalesComplementaryInvoiceHeader |
.RecId, .TableId |
(Global financial management - Latin America) |
| 627 | CustPaymSched |
.ExtTableId, .ExtRecId |
(Accounts Receivable) |
‑‑‑> | SalesParmTable |
.TableId, .RecId |
(Procurement and sourcing) |
| 628 | CustPaymSched |
.ExtTableId, .ExtRecId |
(Accounts Receivable) |
‑‑‑> | SalesTable |
.TableId, .RecId |
(Procurement and sourcing) |
| 629 | CustPaymSchedLine |
.ParentRecID |
(Accounts Receivable) |
‑‑‑> | CustPaymSched |
.RecId |
(Accounts Receivable) |
| 630 | CustPostPaymJournalTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 631 | CustPostPaymJournalTmp |
.CustCurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 632 | CustPostPaymJournalTmp |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 633 | CustPostPaymJournalTmp |
.CustTransRecId |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.RecId |
(Accounts Receivable) |
| 634 | CustPostPaymJournalTmp |
.LedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 635 | CustPostPaymJournalTmp |
.JournalNum |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTable |
.JournalNum |
(General ledger) |
| 636 | CustPrenote |
.BankAccountId |
(Accounts Receivable) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
| 637 | CustPrenote |
.CustAccountId, .CustAccount |
(Accounts Receivable) |
‑‑‑> | CustBankAccount |
.AccountID, .CustAccount |
(Accounts Receivable) |
| 638 | CustPrenote |
.CustAccount |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 639 | CustProvisionalBalanceTmp |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 640 | CustRecurrenceInvoice |
.AgreementHeaderExt_RU |
(Accounts Receivable) |
‑‑‑> | AgreementHeaderExt_RU |
.RecId |
(Global financial management - Russia) |
| 641 | CustRecurrenceInvoice |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 642 | CustRecurrenceInvoice |
.CustBillingClassification |
(Accounts Receivable) |
‑‑‑> | CustBillingClassification |
.RecId |
(Public Sector SL1) |
| 643 | CustRecurrenceInvoice |
.CustInvoiceTemplate |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTemplate |
.RecId |
(Accounts Receivable) |
| 644 | CustRecurrenceInvoice |
.CustTable |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 645 | CustRelatedInvoice |
.CustInvoice |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTable |
.RecId |
(Accounts Receivable) |
| 646 | CustRelatedInvoice |
.OriginalCustInvoice |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTable |
.RecId |
(Accounts Receivable) |
| 647 | CustRelatedInvoice |
.ParentCustInvoice |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTable |
.RecId |
(Accounts Receivable) |
| 648 | CustRelatedInvoice |
.ParentCustInvoice |
(Accounts Receivable) |
‑‑‑> | CustRelatedInvoice |
.RecId |
(Accounts Receivable) |
| 649 | CustSettlement |
.ReversedRecId_RU |
(Accounts Receivable) |
‑‑‑> | CustSettlement |
.RecId |
(Accounts Receivable) |
| 650 | CustSettlement |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 651 | CustSettlement |
.OffsetAccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 652 | CustSettlement |
.TransCompany, .TransRecId, .AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.dataAreaId, .RecId, .AccountNum |
(Accounts Receivable) |
| 653 | CustSettlement |
.OffsetRecid |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.RecId |
(Accounts Receivable) |
| 654 | CustSettlement |
.OffsetCompany, .Fky? |
(Accounts Receivable) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
| 655 | CustSettlement |
.CashDiscountLedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 656 | CustSettlement |
.DefaultDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
| 657 | CustSettlementLine |
.CustInvoiceLineIdRef |
(Accounts Receivable) |
‑‑‑> | CustInvoiceLineIdRef |
.RecId |
(Accounts Receivable) |
| 658 | CustSettlementLine |
.CustSettlement |
(Accounts Receivable) |
‑‑‑> | CustSettlement |
.RecId |
(Accounts Receivable) |
| 659 | CustSettlementTransactionPriority |
.Company, .Fky? |
(Accounts Receivable) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
| 660 | CustStatementDirTmp |
.CustRecId |
(Accounts Receivable) |
‑‑‑> | CustTable |
.RecId |
(Sales and marketing) |
| 661 | CustStatementDirTmp |
.CustCompany, .Fky? |
(Accounts Receivable) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
| 662 | CustStatementDirTmp |
.Party |
(Accounts Receivable) |
‑‑‑> | DirPartyTable |
.RecId |
(Sales and marketing) |
| 663 | CustTmpAccountSum |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 664 | CustTmpAccountSum |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 665 | CustTmpAccountSum |
.DefaultDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
| 666 | CustTmpAccountSum |
.TaxCode |
(Accounts Receivable) |
‑‑‑> | TaxTable |
.TaxCode |
(Tax) |
| 667 | CustTrans |
.AccountingEvent |
(Accounts Receivable) |
‑‑‑> | AccountingEvent |
.RecId |
(General ledger) |
| 668 | CustTrans |
.CompanyBankAccountId |
(Accounts Receivable) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
| 669 | CustTrans |
.BankCentralBankPurposeCode |
(Accounts Receivable) |
‑‑‑> | BankCentralBankPurpose |
.Code |
(Cash and bank management) |
| 670 | CustTrans |
.BankLCExportLine |
(Accounts Receivable) |
‑‑‑> | BankLCExportLine |
.RecId |
(Cash and bank management) |
| 671 | CustTrans |
.BankRemittanceFileId |
(Accounts Receivable) |
‑‑‑> | BankRemittanceFilesCust |
.FileId |
(Cash and bank management) |
| 672 | CustTrans |
.CashDiscCode |
(Accounts Receivable) |
‑‑‑> | CashDisc |
.CashDiscCode |
(Financial management) |
| 673 | CustTrans |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 674 | CustTrans |
.AccountNum, .ThirdPartyBankAccountId |
(Accounts Receivable) |
‑‑‑> | CustBankAccount |
.CustAccount, .AccountID |
(Accounts Receivable) |
| 675 | CustTrans |
.CustBillingClassification |
(Accounts Receivable) |
‑‑‑> | CustBillingClassification |
.RecId |
(Public Sector SL1) |
| 676 | CustTrans |
.BillOfExchangeID |
(Accounts Receivable) |
‑‑‑> | CustBillOfExchangeJour |
.BillOfExchangeId |
(Accounts Receivable) |
| 677 | CustTrans |
.BillOfExchangeID, .AccountNum, .Voucher, .TransDate |
(Accounts Receivable) |
‑‑‑> | CustBillOfExchangeTrans |
.BillOfExchangeId, .CustAccount, .Voucher, .TransDate |
(Accounts Receivable) |
| 678 | CustTrans |
.TransDate, .AccountNum, .Voucher |
(Accounts Receivable) |
‑‑‑> | CustCollectionLetterJour |
.Updated, .AccountNum, .LedgerVoucher |
(Accounts Receivable) |
| 679 | CustTrans |
.createdTransactionId |
(Accounts Receivable) |
‑‑‑> | CustExchRateAdjustment |
.createdTransactionId |
(Accounts Receivable) |
| 680 | CustTrans |
.Voucher, .TransDate, .AccountNum |
(Accounts Receivable) |
‑‑‑> | CustInterestJour |
.FeeVoucher, .Updated, .AccountNum |
(Accounts Receivable) |
| 681 | CustTrans |
.Invoice, .AccountNum, .TransDate, .Voucher |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.InvoiceId, .InvoiceAccount, .InvoiceDate, .LedgerVoucher |
(Accounts Receivable) |
| 682 | CustTrans |
.PostingProfile |
(Accounts Receivable) |
‑‑‑> | CustLedger |
.PostingProfile |
(Accounts Receivable) |
| 683 | CustTrans |
.PostingProfileClose |
(Accounts Receivable) |
‑‑‑> | CustLedger |
.PostingProfile |
(Accounts Receivable) |
| 684 | CustTrans |
.PaymManBatch |
(Accounts Receivable) |
‑‑‑> | CustPaymManFile |
.Batch |
(Accounts Receivable) |
| 685 | CustTrans |
.PaymMode, .PaymSpec |
(Accounts Receivable) |
‑‑‑> | CustPaymModeSpec |
.PaymMode, .Specification |
(Accounts Receivable) |
| 686 | CustTrans |
.PaymMode |
(Accounts Receivable) |
‑‑‑> | CustPaymModeTable |
.PaymMode |
(Accounts Receivable) |
| 687 | CustTrans |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 688 | CustTrans |
.LastSettleAccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 689 | CustTrans |
.OrderAccount |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 690 | CustTrans |
.AccountNum, .TransDate, .Voucher |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.AccountNum, .TransDate, .Voucher |
(Accounts Receivable) |
| 691 | CustTrans |
.OffsetRecid |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.RecId |
(Accounts Receivable) |
| 692 | CustTrans |
.Voucher |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.Voucher |
(Accounts Receivable) |
| 693 | CustTrans |
.LastSettleCompany, .Fky? |
(Accounts Receivable) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
| 694 | CustTrans |
.DefaultDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
| 695 | CustTrans |
.DeliveryMode |
(Accounts Receivable) |
‑‑‑> | DlvMode |
.Code |
(Procurement and sourcing) |
| 696 | CustTrans |
.Fky?, .Fky?, .AccountNum, .Voucher, .TransDate, .CurrencyCode, .RecId |
(Accounts Receivable) |
‑‑‑> | FactureJour_RU |
.Pky?, .Pky?, .CustVendInvoiceAccount, .Voucher, .FactureDate, .CurrencyCode, .CustVendTransRecId |
(Global financial management - Russia) |
| 697 | CustTrans |
.Fky?, .Fky?, .AccountNum, .Voucher, .TransDate, .CurrencyCode |
(Accounts Receivable) |
‑‑‑> | FactureJour_RU |
.Pky?, .Pky?, .CustVendInvoiceAccount, .Voucher, .FactureDate, .CurrencyCode |
(Global financial management - Russia) |
| 698 | CustTrans |
.Approver |
(Accounts Receivable) |
‑‑‑> | HcmWorker |
.RecId |
(Human resources) |
| 699 | CustTrans |
.Voucher, .AccountNum, .TransDate |
(Accounts Receivable) |
‑‑‑> | ProjInvoiceJour |
.LedgerVoucher, .InvoiceAccount, .InvoiceDate |
(Project management and accounting) |
| 700 | CustTrans |
.ReasonRefRecId |
(Accounts Receivable) |
‑‑‑> | ReasonTableRef |
.RecId |
(General ledger) |
| 701 | CustTrans |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | RetailConcessionContractTable |
.CustAccount |
(Retail) |
| 702 | CustTrans |
.ConcessionContractId |
(Accounts Receivable) |
‑‑‑> | RetailConcessionContractTable |
.ContractId |
(Retail) |
| 703 | CustTrans |
.ConcessionSettlementId |
(Accounts Receivable) |
‑‑‑> | RetailConsessionSettlementTable |
.SettlementId |
(Retail) |
| 704 | CustTrans |
.RetailStoreId |
(Accounts Receivable) |
‑‑‑> | RetailStoreTable |
.StoreNumber |
(Retail) |
| 705 | CustTrans |
.RetailTerminalId |
(Accounts Receivable) |
‑‑‑> | RetailTerminalTable |
.terminalId |
(Retail) |
| 706 | CustTrans |
.RetailTransactionId |
(Accounts Receivable) |
‑‑‑> | RetailTransactionTable |
.transactionId |
(Retail) |
| 707 | CustTrans |
.TransDate, .Voucher |
(Accounts Receivable) |
‑‑‑> | TmpBankPaym2Invoice |
.InvoiceTransDate, .InvoiceVoucher |
(Cash and bank management) |
| 708 | CustTransCashDisc |
.CashDiscCode |
(Accounts Receivable) |
‑‑‑> | CashDisc |
.CashDiscCode |
(Financial management) |
| 709 | CustTransCashDisc |
.RefTableId, .RefRecId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.TableId, .RecId |
(Accounts Receivable) |
| 710 | CustTransCashDisc |
.RefRecId, .RefTableId |
(Accounts Receivable) |
‑‑‑> | CustSettlement |
.RecId, .TableId |
(Accounts Receivable) |
| 711 | CustTransCashDisc |
.RefTableId, .RefRecId |
(Accounts Receivable) |
‑‑‑> | CustTransOpen |
.TableId, .RecId |
(Accounts Receivable) |
| 712 | CustTransExtensionTH |
.CustTrans |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.RecId |
(Accounts Receivable) |
| 713 | CustTransIdRef |
.TransRecId |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.RecId |
(Accounts Receivable) |
| 714 | CustTransListTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 715 | CustTransListTmp |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 716 | CustTransMarkedOpenLine |
.CustTransOpenLine |
(Accounts Receivable) |
‑‑‑> | CustTransOpenLine |
.RecId |
(Accounts Receivable) |
| 717 | CustTransMarkedOpenLine |
.SpecTrans |
(Accounts Receivable) |
‑‑‑> | SpecTrans |
.RecId |
(Financial management) |
| 718 | CustTransOpen |
.BankLCExportLine |
(Accounts Receivable) |
‑‑‑> | BankLCExportLine |
.RecId |
(Cash and bank management) |
| 719 | CustTransOpen |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustBillOfExchangeJour |
.CustAccount |
(Accounts Receivable) |
| 720 | CustTransOpen |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustCollectionLetterJour |
.AccountNum |
(Accounts Receivable) |
| 721 | CustTransOpen |
.FineCode_BR |
(Accounts Receivable) |
‑‑‑> | CustFineSetup_BR |
.FineCode |
(Global financial management - Latin America) |
| 722 | CustTransOpen |
.InterestCode_BR |
(Accounts Receivable) |
‑‑‑> | CustInterestSetup_BR |
.InterestCode |
(Global financial management - Latin America) |
| 723 | CustTransOpen |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.InvoiceAccount |
(Accounts Receivable) |
| 724 | CustTransOpen |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTable |
.InvoiceAccount |
(Accounts Receivable) |
| 725 | CustTransOpen |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 726 | CustTransOpen |
.AccountNum, .RefRecId |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.AccountNum, .RecId |
(Accounts Receivable) |
| 727 | CustTransOpen |
.RecId, .AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTransEPRemit_BR |
.CustTransOpenRefRecId, .AccountNum |
(Global financial management - Latin America) |
| 728 | CustTransOpen |
.RecId |
(Accounts Receivable) |
‑‑‑> | CustTransOpen |
.RecId |
(Accounts Receivable) |
| 729 | CustTransOpen |
.CashDiscountLedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 730 | CustTransOpen |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | ProjTable |
.CustAccount |
(Project management and accounting) |
| 731 | CustTransOpen |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | SalesQuotationTable |
.InvoiceAccount |
(Procurement and sourcing) |
| 732 | CustTransOpen |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | SalesTable |
.InvoiceAccount |
(Procurement and sourcing) |
| 733 | CustTransOpenLine |
.CustInvoiceLineIdRef |
(Accounts Receivable) |
‑‑‑> | CustInvoiceLineIdRef |
.RecId |
(Accounts Receivable) |
| 734 | CustTransOpenLine |
.CustTransOpen |
(Accounts Receivable) |
‑‑‑> | CustTransOpen |
.RecId |
(Accounts Receivable) |
| 735 | CustTransOpenPerDateTmp |
.Currency |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 736 | CustTransOpenPerDateTmp |
.Invoice |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.InvoiceId |
(Accounts Receivable) |
| 737 | CustTransOpenPerDateTmp |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 738 | CustTransOpenPerDateTmp |
.LedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 739 | CustVendAccountStatementIntTmp |
.Currency |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 740 | CustVendAccountStatementIntTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 741 | CustVendAccountStatementIntTmp |
.CustGroup |
(Accounts Receivable) |
‑‑‑> | CustGroup |
.CustGroup |
(Accounts Receivable) |
| 742 | CustVendAccountStatementIntTmp |
.LedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 743 | CustVendAccountStatementIntTmp |
.VendGroup |
(Accounts Receivable) |
‑‑‑> | VendGroup |
.VendGroup |
(Procurement and sourcing) |
| 744 | CustVendAccountStatementIntTmp |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
| 745 | CustVendAccountStatementIntTmp |
.InvoiceAccount |
(Accounts Receivable) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
| 746 | CustVendAifPaymTable |
.AifOutboundPort |
(Accounts Receivable) |
‑‑‑> | AifOutboundPort |
.RecId |
(AIF) |
| 747 | CustVendCreditInvoicingJour |
.CorrectedInvoiceRecId, .InvoiceTableId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.RecId, .TableId |
(Accounts Receivable) |
| 748 | CustVendCreditInvoicingJour |
.InvoiceRecId, .InvoiceTableId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.RecId, .TableId |
(Accounts Receivable) |
| 749 | CustVendCreditInvoicingJour |
.CorrectedInvoiceRecId, .InvoiceTableId |
(Accounts Receivable) |
‑‑‑> | ProjInvoiceJour |
.RecId, .TableId |
(Project management and accounting) |
| 750 | CustVendCreditInvoicingJour |
.InvoiceRecId, .InvoiceTableId |
(Accounts Receivable) |
‑‑‑> | ProjInvoiceJour |
.RecId, .TableId |
(Project management and accounting) |
| 751 | CustVendCreditInvoicingJour |
.CorrectedInvoiceRecId, .InvoiceTableId |
(Accounts Receivable) |
‑‑‑> | VendInvoiceJour |
.RecId, .TableId |
(Accounts Payable) |
| 752 | CustVendCreditInvoicingJour |
.InvoiceRecId, .InvoiceTableId |
(Accounts Receivable) |
‑‑‑> | VendInvoiceJour |
.RecId, .TableId |
(Accounts Payable) |
| 753 | CustVendCreditInvoicingLine |
.RefRecId, .RefTableId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceLine |
.RecId, .TableId |
(Accounts Receivable) |
| 754 | CustVendCreditInvoicingLine |
.RefRecId, .RefTableId |
(Accounts Receivable) |
‑‑‑> | PurchLine |
.RecId, .TableId |
(Procurement and sourcing) |
| 755 | CustVendCreditInvoicingLine |
.RefRecId, .RefTableId |
(Accounts Receivable) |
‑‑‑> | SalesLine |
.RecId, .TableId |
(Procurement and sourcing) |
| 756 | CustVendCreditInvoicingTable |
.RefRecId, .RefTableId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTable |
.RecId, .TableId |
(Accounts Receivable) |
| 757 | CustVendCreditInvoicingTable |
.RefRecId, .RefTableId |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTrans |
.RecId, .TableId |
(General ledger) |
| 758 | CustVendCreditInvoicingTable |
.RefRecId, .RefTableId |
(Accounts Receivable) |
‑‑‑> | PurchTable |
.RecId, .TableId |
(Procurement and sourcing) |
| 759 | CustVendCreditInvoicingTable |
.RefRecId, .RefTableId |
(Accounts Receivable) |
‑‑‑> | SalesTable |
.RecId, .TableId |
(Procurement and sourcing) |
| 760 | CustVendCreditInvoicingTrans |
.TransRecId, .TransTableId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTrans |
.RecId, .TableId |
(Accounts Receivable) |
| 761 | CustVendCreditInvoicingTrans |
.TransRecId, .TransTableId |
(Accounts Receivable) |
‑‑‑> | ProjInvoiceItem |
.RecId, .TableId |
(Project management and accounting) |
| 762 | CustVendCreditInvoicingTrans |
.TransRecId, .TransTableId |
(Accounts Receivable) |
‑‑‑> | VendInvoiceTrans |
.RecId, .TableId |
(Accounts Payable) |
| 763 | CustVendInvoiceJourRegisterTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 764 | CustVendOutTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 765 | CustVendOutTmp |
.RemitteeCurrency |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 766 | CustVendOutTmp |
.VendCurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 767 | CustVendOutTmp |
.BillOfExchangeID |
(Accounts Receivable) |
‑‑‑> | CustBillOfExchangeJour |
.BillOfExchangeId |
(Accounts Receivable) |
| 768 | CustVendOutTmp |
.LedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 769 | CustVendOutTmp |
.LedgerJournalTransRecId |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTrans |
.RecId |
(General ledger) |
| 770 | CustVendOutTmp |
.PromissoryNoteID |
(Accounts Receivable) |
‑‑‑> | VendPromissoryNoteJour |
.PromissoryNoteId |
(Accounts Payable) |
| 771 | CustVendPaymJournalFee |
.FeeCurrency |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 772 | CustVendPaymJournalFee |
.Fky?, .FeeId |
(Accounts Receivable) |
‑‑‑> | CustPaymFee |
.Pky?, .FeeId |
(Accounts Receivable) |
| 773 | CustVendPaymJournalFee |
.LedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 774 | CustVendPaymJournalFee |
.DefaultDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
| 775 | CustVendPaymJournalFee |
.RefRecId |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTrans |
.RecId |
(General ledger) |
| 776 | CustVendPaymJournalFee |
.feeTransRecId |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTrans |
.RecId |
(General ledger) |
| 777 | CustVendPaymJournalFee |
.TaxGroup |
(Accounts Receivable) |
‑‑‑> | TaxGroupHeading |
.TaxGroup |
(Tax) |
| 778 | CustVendPaymJournalFee |
.TaxItemGroup |
(Accounts Receivable) |
‑‑‑> | TaxItemGroupHeading |
.TaxItemGroup |
(Tax) |
| 779 | CustVendPaymJournalFee |
.Fky?, .FeeId |
(Accounts Receivable) |
‑‑‑> | VendPaymFee |
.Pky?, .FeeId |
(Accounts Payable) |
| 780 | CustVendPaymJournalTmp |
.AccountID |
(Accounts Receivable) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
| 781 | CustVendPaymJournalTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 782 | CustVendPaymJournalTmp |
.InvoiceCurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 783 | CustVendPaymJournalTmp |
.LedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 784 | CustVendPaymJournalTmp |
.JournalNum |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTable |
.JournalNum |
(General ledger) |
| 785 | CustVendPaymJournalTmp |
.BankMainAccount |
(Accounts Receivable) |
‑‑‑> | MainAccount |
.MainAccountId |
(General ledger) |
| 786 | CustVendPaymJournalTmp |
.InvoiceAccount |
(Accounts Receivable) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
| 787 | CustVendPaymProcessingData |
.CustVendAifPaymTable |
(Accounts Receivable) |
‑‑‑> | CustVendAifPaymTable |
.RecId |
(Accounts Receivable) |
| 788 | CustVendPaymProposalLine |
.CompanyBankAccountIdNegInst |
(Accounts Receivable) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
| 789 | CustVendPaymProposalLine |
.BankCentralBankPurposeCode |
(Accounts Receivable) |
‑‑‑> | BankCentralBankPurpose |
.Code |
(Cash and bank management) |
| 790 | CustVendPaymProposalLine |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 791 | CustVendPaymProposalLine |
.Fky?, .ThirdPartyBankAccountID, .AccountNum |
(Accounts Receivable) |
‑‑‑> | CustBankAccount |
.Pky?, .AccountID, .CustAccount |
(Accounts Receivable) |
| 792 | CustVendPaymProposalLine |
.PaymMode, .Fky? |
(Accounts Receivable) |
‑‑‑> | CustPaymModeTable |
.PaymMode, .Pky? |
(Accounts Receivable) |
| 793 | CustVendPaymProposalLine |
.Fky?, .AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.Pky?, .AccountNum |
(Sales and marketing) |
| 794 | CustVendPaymProposalLine |
.Fky?, .TransOpenRecId |
(Accounts Receivable) |
‑‑‑> | CustTransOpen |
.Pky?, .RecId |
(Accounts Receivable) |
| 795 | CustVendPaymProposalLine |
.VATPaymRefRecId_RU |
(Accounts Receivable) |
‑‑‑> | CustVendPaymProposalLine |
.RecId |
(Accounts Receivable) |
| 796 | CustVendPaymProposalLine |
.AccountNumCompany, .Fky? |
(Accounts Receivable) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
| 797 | CustVendPaymProposalLine |
.JournalCompany, .Fky? |
(Accounts Receivable) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
| 798 | CustVendPaymProposalLine |
.LedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 799 | CustVendPaymProposalLine |
.DefaultDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
| 800 | CustVendPaymProposalLine |
.JournalId |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTable |
.JournalNum |
(General ledger) |
| 801 | CustVendPaymProposalLine |
.LedgerJournalTransRecId |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTrans |
.RecId |
(General ledger) |
| 802 | CustVendPaymProposalLine |
.RemittanceLocation |
(Accounts Receivable) |
‑‑‑> | LogisticsLocation |
.RecId |
(Sales and marketing) |
| 803 | CustVendPaymProposalLine |
.InvoiceTaxCode_RU |
(Accounts Receivable) |
‑‑‑> | TaxTable |
.TaxCode |
(Tax) |
| 804 | CustVendPaymProposalLine |
.Fky?, .ThirdPartyBankAccountID, .AccountNum |
(Accounts Receivable) |
‑‑‑> | VendBankAccount |
.Pky?, .AccountID, .VendAccount |
(Procurement and sourcing) |
| 805 | CustVendPaymProposalLine |
.PaymMode, .Fky? |
(Accounts Receivable) |
‑‑‑> | VendPaymModeTable |
.PaymMode, .Pky? |
(Accounts Payable) |
| 806 | CustVendPaymProposalLine |
.Fky?, .AccountNum |
(Accounts Receivable) |
‑‑‑> | VendTable |
.Pky?, .AccountNum |
(Procurement and sourcing) |
| 807 | CustVendPaymProposalLine |
.Fky?, .TransOpenRecId |
(Accounts Receivable) |
‑‑‑> | VendTransOpen |
.Pky?, .RecId |
(Accounts Payable) |