Microsoft Dynamics AX 2012 R2

AxErd: Child-Parents: Cash and bank management

Module: Cash and bank management

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Row-num Child-table-name Foreign-key-columns Module-of-child-table Arrow-to-parent Parent-table-name Primary-key-columns Module-of-parent-table
202BankReconciliationMatchingItem .BankDocumentTable (Cash and bank management)     ‑‑‑>    BankDocumentTable .RecId (Cash and bank management)
203BankReconciliationMatchingItem .BankDocumentTable (Cash and bank management)     ‑‑‑>    BankDocumentTableView .RecId (Unknown module)
204BankReconciliationMatchingItem .BankReconciliationMatching (Cash and bank management)     ‑‑‑>    BankReconciliationMatching .RecId (Cash and bank management)
205BankReconciliationMatchingItem .BankStmtISOReportEntry (Cash and bank management)     ‑‑‑>    BankStmtISOReportEntry .RecId (Cash and bank management)
206BankReconciliationMatchRuleLine .BankReconciliationMatchRule (Cash and bank management)     ‑‑‑>    BankReconciliationMatchRule .RecId (Cash and bank management)
207BankReconciliationMatchRuleSetLine .BankReconciliationMatchRule (Cash and bank management)     ‑‑‑>    BankReconciliationMatchRule .RecId (Cash and bank management)
208BankReconciliationMatchRuleSetLine .BankReconciliationMatchRuleSet (Cash and bank management)     ‑‑‑>    BankReconciliationMatchRuleSet .RecId (Cash and bank management)
209BankReconciliationPrintoutTmp .AccountId (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
210BankReconciliationPrintoutTmp .CurrencyCode (Cash and bank management)     ‑‑‑>    Currency .CurrencyCode (General ledger)
211BankReconciliationStatementOpenTmp .BankStmtISOReportEntry (Cash and bank management)     ‑‑‑>    BankStmtISOReportEntry .RecId (Cash and bank management)
212BankReconciliationSummaryTmp .AccountId (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
213BankReconciliationTmp .AccountId (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
214BankReconciliationTmp .CurrencyCode (Cash and bank management)     ‑‑‑>    Currency .CurrencyCode (General ledger)
215BankRemittanceFilesCust .BankAccountId (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
216BankRemittanceFilesCust .PaymMode (Cash and bank management)     ‑‑‑>    CustPaymModeTable .PaymMode (Accounts Receivable)
217BankRemittanceFilesCust .JournalId (Cash and bank management)     ‑‑‑>    LedgerJournalTable .JournalNum (General ledger)
218BankRemittanceFilesVend .BankAccountId (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
219BankRemittanceFilesVend .JournalId (Cash and bank management)     ‑‑‑>    LedgerJournalTable .JournalNum (General ledger)
220BankRemittanceFilesVend .PaymMode (Cash and bank management)     ‑‑‑>    VendPaymModeTable .PaymMode (Accounts Payable)
221BankStatementFormat .AifInboundPort (Cash and bank management)     ‑‑‑>    AifInboundPort .RecId (AIF)
222BankStatementLineBankDocumentInformation .AccountingDistributionTemplate (Cash and bank management)     ‑‑‑>    AccountingDistributionTemplate .RecId (General ledger)
223BankStatementLineBankDocumentInformation .BankStmtISOReportEntry (Cash and bank management)     ‑‑‑>    BankStmtISOReportEntry .RecId (Cash and bank management)
224BankStatementLineBankDocumentInformation .BankTransType (Cash and bank management)     ‑‑‑>    BankTransType .BankTransType (Cash and bank management)
225BankStatementLineBankDocumentInformation .OffsetLedgerDimension (Cash and bank management)     ‑‑‑>    DimensionAttributeValueCombination .RecId (General ledger)
226BankStatementLineBankDocumentInformation .DefaultDimension (Cash and bank management)     ‑‑‑>    DimensionAttributeValueSet .RecId (General ledger)
227BankStatementLineBankDocumentInformation .TaxGroup (Cash and bank management)     ‑‑‑>    TaxGroupHeading .TaxGroup (Tax)
228BankStatementLineBankDocumentInformation .TaxItemGroup (Cash and bank management)     ‑‑‑>    TaxItemGroupHeading .TaxItemGroup (Tax)
229BankStatementTransactionTypeHeader .BankAccountTable (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
230BankStatementTransactionTypeMapping .BankStatementTransactionTypeHeader (Cash and bank management)     ‑‑‑>    BankStatementTransactionTypeHeader .RecId (Cash and bank management)
231BankStatementTransactionTypeMapping .BankTransType (Cash and bank management)     ‑‑‑>    BankTransType .BankTransType (Cash and bank management)
232BankStmtISOAccountStatement .AccountingDistributionTemplate (Cash and bank management)     ‑‑‑>    AccountingDistributionTemplate .RecId (General ledger)
233BankStmtISOAccountStatement .BankAccountTable (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
234BankStmtISOAccountStatement .BankStmtISODocument (Cash and bank management)     ‑‑‑>    BankStmtISODocument .RecId (Cash and bank management)
235BankStmtISOAccountStatement .OriginatorId (Cash and bank management)     ‑‑‑>    BankStmtISOPartyIdentification .RecId (Cash and bank management)
236BankStmtISOAccountStatement .UltimateReceiverId (Cash and bank management)     ‑‑‑>    BankStmtISOPartyIdentification .RecId (Cash and bank management)
237BankStmtISOAccountStatement .AccountCurrency (Cash and bank management)     ‑‑‑>    Currency .CurrencyCodeISO (General ledger)
238BankStmtISOAccountStatement .DefaultDimension (Cash and bank management)     ‑‑‑>    DimensionAttributeValueSet .RecId (General ledger)
239BankStmtISOAccountStatement .SourceDocumentHeader (Cash and bank management)     ‑‑‑>    SourceDocumentHeader .RecId (General ledger)
240BankStmtISOCashBalance .BankStmtISOAccountStatement (Cash and bank management)     ‑‑‑>    BankStmtISOAccountStatement .RecId (Cash and bank management)
241BankStmtISOCashBalanceAvailibility .BankStmtISOCashBalance (Cash and bank management)     ‑‑‑>    BankStmtISOCashBalance .RecId (Cash and bank management)
242BankStmtISOCashBalanceAvailibility .BankStmtISOReportEntry (Cash and bank management)     ‑‑‑>    BankStmtISOReportEntry .RecId (Cash and bank management)
243BankStmtISODiscrepancy .BankStmtISODocument (Cash and bank management)     ‑‑‑>    BankStmtISODocument .RecId (Cash and bank management)
244BankStmtISODiscrepancy .CurrencyCode (Cash and bank management)     ‑‑‑>    Currency .CurrencyCode (General ledger)
245BankStmtISODocument .GroupHeader (Cash and bank management)     ‑‑‑>    BankStmtISOGroupHeader .RecId (Cash and bank management)
246BankStmtISOGroupHeader .MessageSender (Cash and bank management)     ‑‑‑>    BankStmtISOPartyIdentification .RecId (Cash and bank management)
247BankStmtISOGroupHeader .MessageRecipient (Cash and bank management)     ‑‑‑>    BankStmtISOPartyIdentification .RecId (Cash and bank management)
248BankStmtISOReportEntry .BankStmtISOAccountStatement (Cash and bank management)     ‑‑‑>    BankStmtISOAccountStatement .RecId (Cash and bank management)
249BankStmtISOReportEntry .TradingParty (Cash and bank management)     ‑‑‑>    BankStmtISOPartyIdentification .RecId (Cash and bank management)
250BankStmtISOReportEntry .ParentBankStmtISOReportEntry (Cash and bank management)     ‑‑‑>    BankStmtISOReportEntry .RecId (Cash and bank management)
251BankStmtISOReportEntry .BankStatementCounterCurrency (Cash and bank management)     ‑‑‑>    Currency .CurrencyCodeISO (General ledger)
252BankStmtISOReportEntry .SourceDocumentLine (Cash and bank management)     ‑‑‑>    SourceDocumentLine .RecId (General ledger)
253BankTransType .LedgerDimension (Cash and bank management)     ‑‑‑>    DimensionAttributeValueCombination .RecId (General ledger)
254BankTransType .PostingProfile_RU (Cash and bank management)     ‑‑‑>    VendLedger .PostingProfile (Accounts Payable)
255BankTransTypeGroupDetails .BankTransactionTypeGroup (Cash and bank management)     ‑‑‑>    BankTransactionTypeGroupHeader .BankTransactionTypeGroup (Cash and bank management)
256BankTransTypeGroupDetails .BankTransactionType (Cash and bank management)     ‑‑‑>    BankTransType .BankTransType (Cash and bank management)
257ChequeTmp .AccountId (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
258ChequeTmp .CurrencyIndicator (Cash and bank management)     ‑‑‑>    ISOCurrencyCode .ISCCurrencyCodeAlpha (General ledger)
259TmpBankBillOfExchangePrintout .AccountId (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
260TmpBankBillOfExchangePrintout .CustAccount (Cash and bank management)     ‑‑‑>    CustTable .AccountNum (Sales and marketing)
261TmpBankBillOfExchangePrintout .CountryRegionId (Cash and bank management)     ‑‑‑>    LogisticsAddressCountryRegion .CountryRegionId (Sales and marketing)
262TmpBankPaym2Invoice .InvoiceCurrencyCode (Cash and bank management)     ‑‑‑>    Currency .CurrencyCode (General ledger)
263TmpBankPaym2Invoice .InvoiceCompany, .Fky? (Cash and bank management)     ‑‑‑>    DataArea .id, .Pky? (Unknown module)
264TmpBankPromissoryNotePrintout .AccountId (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
265TmpBankPromissoryNotePrintout .CountryRegionId (Cash and bank management)     ‑‑‑>    LogisticsAddressCountryRegion .CountryRegionId (Sales and marketing)
266TmpBankPromissoryNotePrintout .VendAccount (Cash and bank management)     ‑‑‑>    VendTable .AccountNum (Procurement and sourcing)
267TmpBankTotal .AccountId (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
268TmpBankTotal .BankTransType (Cash and bank management)     ‑‑‑>    BankTransType .BankTransType (Cash and bank management)
269TmpBankTransTypeSum .AccountId (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
270TmpBankTransTypeSum .BankTransactionTypeGroup (Cash and bank management)     ‑‑‑>    BankTransactionTypeGroupHeader .BankTransactionTypeGroup (Cash and bank management)
271TmpChequePrintout .AccountId (Cash and bank management)     ‑‑‑>    BankAccountTable .AccountID (Cash and bank management)
272TmpChequePrintout .CurrencyCode (Cash and bank management)     ‑‑‑>    Currency .CurrencyCode (General ledger)
273TmpChequePrintout .CountryRegionId (Cash and bank management)     ‑‑‑>    LogisticsAddressCountryRegion .CountryRegionId (Sales and marketing)



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