应用对象
Dynamics NAV 2009

应在原始发票的年度声明并不是基于在西班牙语版本的 Microsoft Dynamics 导航 2009年 347 申报中重绘的清单年份重新出票的现金付款。下列产品中发生此问题︰

  • 西班牙语版本的 Microsoft Dynamics 导航 2009 R2

  • 西班牙语版本的 Microsoft Dynamics 导航 2009 Service Pack 1 (SP1)

原因

因为不正确的日期是从导出 347 申报重新出票时,会出现此问题

解决方案

修补程序信息

受支持的修补程序现已从 Microsoft 推出。然而,它仅用于纠正本文中描述的问题。它仅应用于正经历此特定问题的系统。此修补程序可能会接受进一步的测试。因此,如果这个问题没有对您造成严重的影响,我们建议您等待下一个 Microsoft Dynamics 导航 2009 服务包 或包含此修复程序的下一步的 Microsoft Dynamics 导航版本。注意: 在特殊情况下,可免收的支持电话,可免收如果技术支持专业人员对 Microsoft Dynamics 和相关的产品的费用确定某个特定的更新能够解决您的问题。照常收取支持费用将应用于其他支持问题和对于特定更新无法解决的问题。

安装信息

Microsoft 提供的编程示例仅用于说明,没有任何明示或暗示的担保。这包括但不限于适销性或特定用途适用性的暗示担保。本文假定您熟悉所演示的编程语言和用于创建和调试过程的工具。Microsoft 的支持工程师可以帮助解释某个特定过程的功能。但是,他们不会修改这些示例以提供额外的功能或构建过程以满足您的特定要求。注意:安装此修复程序之前,请验证所有 Microsoft Dynamics 导航客户端用户都注销系统。这包括 Microsoft Dynamics 导航应用程序服务器 (NAS) 服务。要实现此修补程序时,在登录的唯一客户端用户。若要实现此修补程序,必须使用开发人员许可证。我们建议在 Windows 登录窗口或数据库登录窗口中的用户帐户将分配该"超级"角色 id。如果不能将用户帐户分配成"超级"角色 ID,则必须验证用户帐户具有下列权限:

  • 您将更改该对象的修改权限。

  • 为系统对象 ID™ 5210对象和系统对象 ID 9015执行权限对象。

注意:您不需要具有对数据存储区的权限,除非您需要执行数据修复。

代码更改

注始终测试代码修补程序在受控环境中之前将修补程序应用到生产计算机。在应用之前更改,请导入 SEPA 的所有更新。若要解决此问题,请执行以下步骤:

  1. 更改使 347 申报报表 (10707) 中的IdentifyCashPayments函数中的代码,如下所示︰现有代码 1

    ...LOCAL PROCEDURE IdentifyCashPayments@1100010(CustomerNo@1100000 : Code[20];VATRegistrationNo@1100002 : Text[20]);      VAR        CustLedgerEntry@1100001 : Record 21;      BEGIN        // es0020.begin        CustLedgerEntry.SETCURRENTKEY("Document Type","Customer No.","Posting Date","Currency Code");        CustLedgerEntry.SETRANGE("Document Type",CustLedgerEntry."Document Type"::Payment);...

    替换代码 1

    ...LOCAL PROCEDURE IdentifyCashPayments@1100010(CustomerNo@1100000 : Code[20];VATRegistrationNo@1100002 : Text[20]);      VAR        CustLedgerEntry@1100001 : Record 21;// Add the following line.       DocumentPostingDate@1170000000 : Date;      BEGIN        // es0020.begin        CustLedgerEntry.SETCURRENTKEY("Document Type","Customer No.","Posting Date","Currency Code");        CustLedgerEntry.SETRANGE("Document Type",CustLedgerEntry."Document Type"::Payment);...

    现有代码 2

    ...CustLedgerEntry.SETCURRENTKEY("Document Type","Customer No.","Posting Date","Currency Code");        CustLedgerEntry.SETRANGE("Document Type",CustLedgerEntry."Document Type"::Payment);        CustLedgerEntry.SETRANGE("Customer No.",CustomerNo);// Delete the following lines.       CustLedgerEntry.SETRANGE("Posting Date",FromDate,ToDate);       IF CustLedgerEntry.FINDSET THEN         REPEAT           IF (CustLedgerEntry."Bal. Account Type" = CustLedgerEntry."Bal. Account Type"::"G/L Account") AND             (CustLedgerEntry."Bal. Account No." <> '')           THEN BEGIN             IF IsCashAccount(CustLedgerEntry."Bal. Account No.") THEN               CreateCashTotals(CustLedgerEntry."Entry No.",VATRegistrationNo);           END ELSE             IF ((CustLedgerEntry."Bal. Account No." = '') OR               (CustLedgerEntry."Bal. Account Type" <> CustLedgerEntry."Bal. Account Type"::"G/L Account"))             THEN BEGIN               IF IdentifyCashPaymentsFromGL(CustLedgerEntry) THEN                 CreateCashTotals(CustLedgerEntry."Entry No.",VATRegistrationNo);             END;// End of the deleted lines.          UNTIL CustLedgerEntry.NEXT = 0;        // es0020.end      END;...

    替换代码 2

    ...CustLedgerEntry.SETCURRENTKEY("Document Type","Customer No.","Posting Date","Currency Code");        CustLedgerEntry.SETRANGE("Document Type",CustLedgerEntry."Document Type"::Payment);        CustLedgerEntry.SETRANGE("Customer No.",CustomerNo);// Add the following lines.       // we need payments made in future.       // CustLedgerEntry.SETRANGE("Posting Date",FromDate,ToDate);       IF CustLedgerEntry.FINDSET THEN         REPEAT           DocumentPostingDate := GetPaymentDocumentPostingDate(CustLedgerEntry);           IF (CheckCashTotalsPossibility(CustLedgerEntry,DocumentPostingDate)) THEN             CreateCashTotals(CustLedgerEntry."Entry No.",VATRegistrationNo,DocumentPostingDate);// End of the added lines.          UNTIL CustLedgerEntry.NEXT = 0;        // es0020.end      END;...
  2. 更改使 347 申报报表 (10707) 中的CreateCashTotals函数中的代码,如下所示︰现有代码 1

    ...UNTIL CustLedgerEntry.NEXT = 0;        // es0020.end      END;// Delete the following line.     LOCAL PROCEDURE CreateCashTotals@2(CustLedgerEntryNo@1100000 : Integer;VATRegistrationNo@1100001 : Text[20]) : Boolean;      VAR        CustLedgerEntry@1100091 : Record 21;        DtldCustLedgEntry@1100094 : Record 379;        DtldCustLedgEntry2@1100095 : Record 379;...

    替换代码 1

    ...UNTIL CustLedgerEntry.NEXT = 0;        // es0020.end      END;// Add the following line.     LOCAL PROCEDURE CreateCashTotals@2(CustLedgerEntryNo@1100000 : Integer;VATRegistrationNo@1100001 : Text[20];DocumentPostingDate@1170000000 : Date) : Boolean;      VAR        CustLedgerEntry@1100091 : Record 21;        DtldCustLedgEntry@1100094 : Record 379;        DtldCustLedgEntry2@1100095 : Record 379;...

    现有代码 2

    ...THEN BEGIN                    IF CustLedgerEntry.GET(DtldCustLedgEntry2."Cust. Ledger Entry No.") THEN                      UpdateCustomerCashBuffer(VATRegistrationNo,// Delete the following line.                      DATE2DMY(CustLedgerEntry."Posting Date",3),-(DtldCustLedgEntry2."Amount (LCY)"));                  END;                UNTIL DtldCustLedgEntry2.NEXT = 0;            END ELSE BEGIN...

    替换代码 2

    ...THEN BEGIN                    IF CustLedgerEntry.GET(DtldCustLedgEntry2."Cust. Ledger Entry No.") THEN                      UpdateCustomerCashBuffer(VATRegistrationNo,// Add the following line.                       DATE2DMY(DocumentPostingDate,3),-(DtldCustLedgEntry2."Amount (LCY)"));                  END;                UNTIL DtldCustLedgEntry2.NEXT = 0;            END ELSE BEGIN...

    现有代码 3

    ...END ELSE BEGIN              IF CustLedgerEntry.GET(DtldCustLedgEntry."Applied Cust. Ledger Entry No.") THEN                UpdateCustomerCashBuffer(VATRegistrationNo,// Delete the following line.                 DATE2DMY(CustLedgerEntry."Posting Date",3),DtldCustLedgEntry."Amount (LCY)");            END;          UNTIL DtldCustLedgEntry.NEXT = 0;        // es0020.end...

    替换代码 3

    ...END ELSE BEGIN              IF CustLedgerEntry.GET(DtldCustLedgEntry."Applied Cust. Ledger Entry No.") THEN                UpdateCustomerCashBuffer(VATRegistrationNo,// Add the following line.                 DATE2DMY(DocumentPostingDate,3),DtldCustLedgEntry."Amount (LCY)");            END;          UNTIL DtldCustLedgEntry.NEXT = 0;        // es0020.end...
  3. 更改使 347 申报报表 (10707) 中的GetPaymentDocumentPostingDate函数中的代码,如下所示︰现有代码

    ...IF Vendor."Country/Region Code" = CountryCode THEN           FromJournal := TRUE;      END;...

    替换代码

    ...IF Vendor."Country/Region Code" = CountryCode THEN           FromJournal := TRUE;      END;// Add the following lines.     LOCAL PROCEDURE GetPaymentDocumentPostingDate@1170000000(CustLedgerEntry@1170000000 : Record 21) PostingDate : Date;     VAR       CustLedgerEntryRelated@1170000001 : Record 21;     BEGIN       WITH CustLedgerEntry DO BEGIN;         TESTFIELD("Document Type","Document Type"::Payment);         PostingDate := "Posting Date";       END;       // If payment for Bill then we need get Posting Date of the Document related to the Bill       WITH CustLedgerEntryRelated DO BEGIN         SETRANGE("Closed by Entry No.",CustLedgerEntry."Entry No.");         SETRANGE("Document Type","Document Type"::Bill);         IF FINDFIRST THEN BEGIN           RESET;           SETRANGE("Document No.","Document No.");           SETFILTER("Document Type",'%1|%2',"Document Type"::Invoice,"Document Type"::"Credit Memo");           FINDFIRST;           PostingDate := "Posting Date";         END       END;       EXIT(PostingDate);     END;     PROCEDURE CheckCashTotalsPossibility@1170000008(CustLedgerEntry@1170000000 : Record 21;DocumentPostingDate@1170000001 : Date) : Boolean;     BEGIN       IF (DocumentPostingDate < FromDate) OR (DocumentPostingDate > ToDate) THEN         EXIT(FALSE);       WITH CustLedgerEntry DO         IF ("Bal. Account Type" = "Bal. Account Type"::"G/L Account") AND ("Bal. Account No." <> '') THEN BEGIN           IF IsCashAccount("Bal. Account No.") THEN             EXIT(TRUE);         END ELSE           IF ("Bal. Account No." = '') OR ("Bal. Account Type" <> "Bal. Account Type"::"G/L Account") THEN             IF IdentifyCashPaymentsFromGL(CustLedgerEntry) THEN               EXIT(TRUE);       EXIT(FALSE);     END;// End of the added lines....

系统必备组件

您必须具有要应用此修补程序的安装以下产品之一︰

  • 西班牙语版本的 Microsoft Dynamics 导航 2009 R2

  • 西班牙语版本的 Microsoft Dynamics 导航 2009 SP1

删除信息

您不能删除此修补程序。

状态

Microsoft 已经确认这是“适用于”一节中列出的 Microsoft 产品中的问题。

注意:这是直接从创建 Microsoft 支持部门内的"快速发布"的文章。此处包含的信息是作为为了响应新出现的问题而提供的。由于以使其可用的速度,而材料可能包含印刷错误,恕不另行通知,随时可能进行修订。其他考虑因素,请参阅使用条款

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