本文適用於 Microsoft 動態航行點的葡萄牙文 (pt) 語言地區設定。
狀況
當您在同一時間葡萄牙文版本的 Microsoft 動態航行點 2009年張貼發票與拒絕物料單的現金回條日誌時,所有的已張貼的總帳項目所公佈的使用拒絕帳單帳戶中。不過,應收帳款帳戶應用於 「 發票 」,且拒絕帳單帳戶應該被拒絕的文件。下列產品中,就會發生這個問題︰
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葡萄牙文版本的 Microsoft 動態航行點 2009 R2
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葡萄牙文版本的 Microsoft 動態航行點 2009 Service Pack 1
解決方案
Hotfix 資訊
已經可以從 Microsoft 取得支援的 hotfix。不過,它只被用來修正本文所述的問題。它只適用於發生此特定問題的系統上。此 hotfix 可能會接受其他測試。因此,如果此問題不會嚴重影響,我們建議您等候下一步的 Microsoft 動態航行點 2009 service pack 或包含此 hotfix 的下一個 Microsoft 動態航行點版本。
注意 在特殊的情況下,通常會支援呼叫可能已被取消如果技術支援專業人員的 Microsoft 動態及相關的產品所產生的費用會決定某特定更新程式可以解決您的問題。收取支援費用會套用,如果有其他支援問題是,不能限定的特定更新程式。
安裝資訊
Microsoft 會提供程式設計範例僅供說明,而不做任何明示或默示的保證。這包括,但不限於適售性或適合某特定用途之默示擔保責任。本文假設您已相當熟悉使用的我們所示範的程式設計語言以及建立和偵錯程序所使用的工具。Microsoft 技術支援工程師可以協助解釋特定程序的功能。不過,它們不會修改這些範例以提供附加功能或建構程序來滿足您特定需求。
注意套用此 hotfix 之前,請確認所有的 Microsoft Navision 用戶端使用者會登出系統。這包括 Microsoft Navision 應用程式服務 (NAS) 用戶端的使用者。您應該是唯一的用戶端使用者已登入,當您實作此 hotfix。
若要實作此 hotfix,您必須有開發人員授權。
我們建議您在 Windows 登入] 視窗中的色彩,或資料庫登入] 視窗中的使用者帳戶被指派 「 進階 」 的角色識別碼。如果使用者帳戶不能指派為 「 超級 」 的角色識別碼,您必須確認使用者帳戶具有下列權限︰
-
您將會變更物件的 [修改] 權限。
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執行權限的系統物件 ID 5210物件和系統物件 ID 9015物件。
注意您沒有擁有資料存放區的權限,除非您需要執行資料修復。
程式碼變更
注意永遠測試程式碼修正在受控制的環境中才能套用到實際執行電腦的修正程式。
若要解決這個問題,請變更的程式碼在 Gen.Jnl。-張貼行 codeunit (12)。若要執行這項操作,請參考下列步驟:
-
加入下列的全域變數︰
TempRejCustLedgEntry@1100047 : TEMPORARY Record 21;
-
變更PostCust函式中的程式碼如下所示︰
現有的程式碼 1... DiscRiskFactAmountLCY := 0;
DiscUnriskFactAmountLCY := 0;
CollFactAmountLCY := 0;
//--------
IF Cust."No." <> "Account No." THEN
Cust.GET("Account No.");
Cust.CheckBlockedCustOnJnls(Cust,"Document Type",TRUE);
IF "Posting Group" = '' THEN BEGIN
...取代程式碼 1
... DiscRiskFactAmountLCY := 0;
DiscUnriskFactAmountLCY := 0;
CollFactAmountLCY := 0;
//--------
// Add the following lines.
TempRejCustLedgEntry.RESET;
TempRejCustLedgEntry.DELETEALL;
// End of the lines.
IF Cust."No." <> "Account No." THEN
Cust.GET("Account No.");
Cust.CheckBlockedCustOnJnls(Cust,"Document Type",TRUE);
IF "Posting Group" = '' THEN BEGIN
...現有的程式碼 2
... END;
// Post the application
ApplyCustLedgEntry(
CVLedgEntryBuf,DtldCVLedgEntryBuf,GenJnlLine,GLSetup."Appln. Rounding Precision");
// Delete the following lines.
IF GenJnlLine."Applies-to Doc. Type" = GenJnlLine."Applies-to Doc. Type"::" " THEN
GenJnlLine."Applies-to Doc. Type" := AppliesToDocType;
// End of the lines.
IF AppManagement.AccessToCartera AND NOT GenJnlLine.Prepayment THEN BEGIN
IF "Document Type" = "Document Type"::Bill THEN BEGIN
DocPost.CreateReceivableDoc(GenJnlLine,CVLedgEntryBuf);
CustLedgEntry."Document Situation" := CustLedgEntry."Document Situation"::Cartera;
...取代程式碼 2
... END;
// Post the application
ApplyCustLedgEntry(
CVLedgEntryBuf,DtldCVLedgEntryBuf,GenJnlLine,GLSetup."Appln. Rounding Precision");
// Add the following lines.
IF ("Applies-to ID" = '') AND ("Applies-to Doc. Type" = "Applies-to Doc. Type"::" ") THEN
"Applies-to Doc. Type" := AppliesToDocType;
// End of the lines.
IF AppManagement.AccessToCartera AND NOT GenJnlLine.Prepayment THEN BEGIN
IF "Document Type" = "Document Type"::Bill THEN BEGIN
DocPost.CreateReceivableDoc(GenJnlLine,CVLedgEntryBuf);
CustLedgEntry."Document Situation" := CustLedgEntry."Document Situation"::Cartera;
... -
變更PostVend函式中的程式碼如下所示︰
現有的程式碼... // Post the application
ApplyVendLedgEntry(
CVLedgEntryBuf,DtldCVLedgEntryBuf,GenJnlLine,
GLSetup."Appln. Rounding Precision");
// Delete the following lines.
IF GenJnlLine."Applies-to Doc. Type" = GenJnlLine."Applies-to Doc. Type"::" " THEN
GenJnlLine."Applies-to Doc. Type" := AppliesToDocType;
// End of the lines.
IF AppManagement.AccessToCartera AND NOT GenJnlLine.Prepayment THEN BEGIN
IF "Document Type" = "Document Type"::Bill THEN BEGIN
DocPost.CreatePayableDoc(GenJnlLine,CVLedgEntryBuf);
VendLedgEntry."Document Situation" := VendLedgEntry."Document Situation"::Cartera;
...取代程式碼
... // Post the application
ApplyVendLedgEntry(
CVLedgEntryBuf,DtldCVLedgEntryBuf,GenJnlLine,
GLSetup."Appln. Rounding Precision");
// Add the following lines.
IF ("Applies-to ID" = '') AND ("Applies-to Doc. Type" = "Applies-to Doc. Type"::" ") THEN
"Applies-to Doc. Type" := AppliesToDocType;
// End of the lines.
IF AppManagement.AccessToCartera AND NOT GenJnlLine.Prepayment THEN BEGIN
IF "Document Type" = "Document Type"::Bill THEN BEGIN
DocPost.CreatePayableDoc(GenJnlLine,CVLedgEntryBuf);
VendLedgEntry."Document Situation" := VendLedgEntry."Document Situation"::Cartera;
... -
變更ApplyCustLedgEntry函式中的程式碼如下所示︰
現有的程式碼... OldCustLedgEntry."Document Situation"::"Closed Documents",
OldCustLedgEntry."Document Situation"::"Closed BG/PO"]) THEN
FromClosedDoc := TRUE
ELSE
FromClosedDoc := FALSE;
DocPost.UpdateReceivableDoc(
OldCustLedgEntry,GenJnlLine,AppliedAmountLCY + DeltaUnrealAmount + DeltaAmountLCY,
DocAmountLCY,RejDocAmountLCY,DiscDocAmountLCY,CollDocAmountLCY,
DiscRiskFactAmountLCY,DiscUnriskFactAmountLCY,CollFactAmountLCY);
END;
...取代程式碼
... OldCustLedgEntry."Document Situation"::"Closed Documents",
OldCustLedgEntry."Document Situation"::"Closed BG/PO"]) THEN
FromClosedDoc := TRUE
ELSE
FromClosedDoc := FALSE;
// Add the following lines.
IF OldCustLedgEntry."Document Status" = OldCustLedgEntry."Document Status"::Rejected THEN BEGIN
TempRejCustLedgEntry := OldCustLedgEntry;
TempRejCustLedgEntry."Remaining Amount (LCY) stats." := AppliedAmountLCY + DeltaUnrealAmount + DeltaAmountLCY;
TempRejCustLedgEntry.INSERT;
END;
// End of the lines.
DocPost.UpdateReceivableDoc(
OldCustLedgEntry,GenJnlLine,AppliedAmountLCY + DeltaUnrealAmount + DeltaAmountLCY,
DocAmountLCY,RejDocAmountLCY,DiscDocAmountLCY,CollDocAmountLCY,
DiscRiskFactAmountLCY,DiscUnriskFactAmountLCY,CollFactAmountLCY);
END;
... -
變更PostDtldCustLedgEntries函式中的程式碼如下所示︰
現有的程式碼... AccNo := CustPostingGr."Bills Account";
END ELSE BEGIN
CustPostingGr.TESTFIELD("Receivables Account");
AccNo := CustPostingGr."Receivables Account";
END;
// Delete the following lines.
IF DiscDocAmountLCY <> 0 THEN BEGIN
CustPostingGr.TESTFIELD("Discted. Bills Acc.");
AccNo := CustPostingGr."Discted. Bills Acc.";
END;
IF CollDocAmountLCY <> 0 THEN BEGIN
CustPostingGr.TESTFIELD("Bills on Collection Acc.");
AccNo := CustPostingGr."Bills on Collection Acc.";
END;
IF RejDocAmountLCY <> 0 THEN BEGIN
CASE GenJnlLine."Applies-to Doc. Type" OF
GenJnlLine."Applies-to Doc. Type"::Bill:
BEGIN
CustPostingGr.TESTFIELD("Rejected Bills Acc.");
AccNo := CustPostingGr."Rejected Bills Acc.";
END;
GenJnlLine."Applies-to Doc. Type"::Invoice:
BEGIN
CustPostingGr.TESTFIELD("Rejected Factoring Acc.");
AccNo := CustPostingGr."Rejected Factoring Acc.";
END;
ELSE
IF (GenJnlLine."Document Type" IN [GenJnlLine."Document Type"::"Credit Memo",GenJnlLine."Document Type"::Payment]) AND
(OldCVLedgEntryBuf4."Applies-to ID" <> '') THEN BEGIN
CASE OldCVLedgEntryBuf4."Document Type" OF
OldCVLedgEntryBuf4."Document Type"::Bill:
BEGIN
CustPostingGr.TESTFIELD("Receivables Account");
AccNo := CustPostingGr."Receivables Account";
END;
OldCVLedgEntryBuf4."Document Type"::Invoice:
BEGIN
CustPostingGr.TESTFIELD("Receivables Account");
AccNo := CustPostingGr."Receivables Account";
END;
END;
END;
END;
END;
IF (DiscRiskFactAmountLCY <> 0) OR (DiscUnriskFactAmountLCY <> 0) THEN BEGIN
CustPostingGr.TESTFIELD("Factoring for Discount Acc.");
AccNo := CustPostingGr."Factoring for Discount Acc.";
END;
IF CollFactAmountLCY <> 0 THEN BEGIN
CustPostingGr.TESTFIELD("Factoring for Collection Acc.");
AccNo := CustPostingGr."Factoring for Collection Acc.";
END;
// End of the lines.
ReceivableAccAmtLCY :=
TotalAmountLCY -
(DocAmountLCY + DiscDocAmountLCY +
CollDocAmountLCY + RejDocAmountLCY + DiscRiskFactAmountLCY +
...取代程式碼
... AccNo := CustPostingGr."Bills Account";
END ELSE BEGIN
CustPostingGr.TESTFIELD("Receivables Account");
AccNo := CustPostingGr."Receivables Account";
END;
ReceivableAccAmtLCY :=
TotalAmountLCY -
(DocAmountLCY + DiscDocAmountLCY +
CollDocAmountLCY + RejDocAmountLCY + DiscRiskFactAmountLCY +
... -
變更PostReceivableDocs函式中的程式碼如下所示︰
現有的程式碼... GLEntry."Bal. Account Type" := GenJnlLine."Bal. Account Type";
GLEntry."Bal. Account No." := GenJnlLine."Bal. Account No.";
InsertGLEntry(TRUE);
END;
IF RejDocAmountLCY <> 0 THEN BEGIN
// Delete the following lines.
CASE GenJnlLine."Applies-to Doc. Type" OF
GenJnlLine."Applies-to Doc. Type"::Bill:
BEGIN
CustPostingGr.TESTFIELD("Rejected Bills Acc.");
InitGLEntry(CustPostingGr."Rejected Bills Acc.",RejDocAmountLCY,DocAmtCalcAddCurrency(RejDocAmountLCY),TRUE,TRUE);
GLEntry."Bal. Account Type" := GenJnlLine."Bal. Account Type";
GLEntry."Bal. Account No." := GenJnlLine."Bal. Account No.";
InsertGLEntry(TRUE);
END;
GenJnlLine."Applies-to Doc. Type"::Invoice:
BEGIN
CustPostingGr.TESTFIELD("Rejected Factoring Acc.");
InitGLEntry(CustPostingGr."Rejected Factoring Acc.",RejDocAmountLCY,DocAmtCalcAddCurrency(RejDocAmountLCY),TRUE,TRUE);
GLEntry."Bal. Account Type" := GenJnlLine."Bal. Account Type";
GLEntry."Bal. Account No." := GenJnlLine."Bal. Account No.";
InsertGLEntry(TRUE);
END;
ELSE
IF (GenJnlLine."Document Type" IN [GenJnlLine."Document Type"::"Credit Memo",GenJnlLine."Document Type"::Payment]) AND
(OldCVLedgEntryBuf4."Applies-to ID" <> '') THEN BEGIN
CASE OldCVLedgEntryBuf4."Document Type" OF
OldCVLedgEntryBuf4."Document Type"::Bill:
BEGIN
CustPostingGr.TESTFIELD("Rejected Bills Acc.");
InitGLEntry(CustPostingGr."Rejected Bills Acc.",RejDocAmountLCY,DocAmtCalcAddCurrency(RejDocAmountLCY),TRUE,TRUE);
GLEntry."Bal. Account Type" := GenJnlLine."Bal. Account Type";
GLEntry."Bal. Account No." := GenJnlLine."Bal. Account No.";
InsertGLEntry(TRUE);
END;
OldCVLedgEntryBuf4."Document Type"::Invoice:
BEGIN
CustPostingGr.TESTFIELD("Rejected Factoring Acc.");
InitGLEntry(CustPostingGr."Rejected Factoring Acc.",RejDocAmountLCY,DocAmtCalcAddCurrency(RejDocAmountLCY),TRUE,TRUE
);
GLEntry."Bal. Account Type" := GenJnlLine."Bal. Account Type";
GLEntry."Bal. Account No." := GenJnlLine."Bal. Account No.";
InsertGLEntry(TRUE);
END;
END;
END;
// End of the lines.
END;
END;
IF DiscRiskFactAmountLCY <> 0 THEN BEGIN
CustPostingGr.TESTFIELD("Factoring for Discount Acc.");
InitGLEntry(CustPostingGr."Factoring for Discount Acc.",
...取代程式碼
... GLEntry."Bal. Account Type" := GenJnlLine."Bal. Account Type";
GLEntry."Bal. Account No." := GenJnlLine."Bal. Account No.";
InsertGLEntry(TRUE);
END;
IF RejDocAmountLCY <> 0 THEN BEGIN
// Add the following lines.
WITH TempRejCustLedgEntry DO BEGIN
RESET;
SETCURRENTKEY("Customer No.","Document Type","Document Situation","Document Status");
SETRANGE("Document Type","Document Type"::Bill);
CALCSUMS("Remaining Amount (LCY) stats.");
IF "Remaining Amount (LCY) stats." <> 0 THEN BEGIN
CustPostingGr.TESTFIELD("Rejected Bills Acc.");
InitGLEntry(
CustPostingGr."Rejected Bills Acc.","Remaining Amount (LCY) stats.",
DocAmtCalcAddCurrency("Remaining Amount (LCY) stats."),TRUE,TRUE);
GLEntry."Bal. Account Type" := GenJnlLine."Bal. Account Type";
GLEntry."Bal. Account No." := GenJnlLine."Bal. Account No.";
InsertGLEntry(TRUE);
END;
SETRANGE("Document Type","Document Type"::Invoice);
CALCSUMS("Remaining Amount (LCY) stats.");
IF "Remaining Amount (LCY) stats." <> 0 THEN BEGIN
CustPostingGr.TESTFIELD("Rejected Factoring Acc.");
InitGLEntry(
CustPostingGr."Rejected Factoring Acc.","Remaining Amount (LCY) stats.",
DocAmtCalcAddCurrency("Remaining Amount (LCY) stats."),TRUE,TRUE);
GLEntry."Bal. Account Type" := GenJnlLine."Bal. Account Type";
GLEntry."Bal. Account No." := GenJnlLine."Bal. Account No.";
InsertGLEntry(TRUE);
END;
// End of the lines.
END;
END;
IF DiscRiskFactAmountLCY <> 0 THEN BEGIN
CustPostingGr.TESTFIELD("Factoring for Discount Acc.");
InitGLEntry(CustPostingGr."Factoring for Discount Acc.",
...
先決條件
您必須具備套用此 hotfix 之後安裝下列產品的其中一個︰
-
葡萄牙文版本的 Microsoft 動態航行點 2009 R2
-
葡萄牙文版本的 Microsoft 動態航行點 2009 Service Pack 1
移除資訊
您無法移除此 hotfix。
狀態
Microsoft 已確認這是<套用>一節所列出的 Microsoft 產品的問題。
注意這是直接從 Microsoft 支援組織內建立的「快速發行」文件。本文件所包含的現狀資訊是針對新興問題的回應。為縮短使其可用的時程,資料可能會包含印刷錯誤,且可能會隨時進行修改而不另行通知。如其他考量,請參閱 「使用規定」。