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Product: Cashbook (1058)
Series: Financial
Display Name: Deposit Header Group Display Name: Bank Management
Physical Name: CB200002
Technical Name: CB_Deposit_HDR
Group Technical Name: Bank Management
Seq No | Physical Name | Display Name | Dexterity Data Type | SQL Data Type | Length | |
---|---|---|---|---|---|---|
1 | CHEKBKID | Checkbook ID | STR15_Checkbook_ID | String | 15 | |
Key to the CM Checkbook Master (CM00100).
Click to show/hideSELECT
['Deposit Header'].CHEKBKID AS 'Deposit Header-Checkbook ID'
,['CM Checkbook Master'].CHEKBKID AS 'CM Checkbook Master-Checkbook ID'
FROM
CB200002 AS ['Deposit Header']
INNER JOIN
CM00100 AS ['CM Checkbook Master']
ON
['Deposit Header'].CHEKBKID = ['CM Checkbook Master'].CHEKBKID | ||||||
2 | CB_Deposit_Date | CB_Deposit_Date | DT | Date | 8 | |
3 | CURRNIDX | Currency Index | INT3 | Integer | 3 | |
Key to the Currency Setup (MC40200).
Click to show/hideSELECT
['Deposit Header'].CURRNIDX AS 'Deposit Header-Currency Index'
,['Currency Setup'].CURRNIDX AS 'Currency Setup-Currency Index'
FROM
CB200002 AS ['Deposit Header']
INNER JOIN
DYNAMICS..MC40200 AS ['Currency Setup']
ON
['Deposit Header'].CURRNIDX = ['Currency Setup'].CURRNIDX | ||||||
4 | CB_Dep_Rec_No | CB_Dep_Rec_No | INT | Integer | 0 | |
5 | CB_Trans_Option | CB_Trans_Option | CB_DDL_Option | Integer | 0 | |
6 | CB_Trans_Type | CB_Trans_Type | STR1 | String | 1 | |
7 | depositnumber | Deposit Number | STR20_Document_Number | String | 20 | |
8 | CB_Deposit_Total | CB_Deposit_Total | DLR19_RBS0_STR$ | Currency | 19 | |
9 | BACHNUMB | Batch Number | STR15_LBAU | String | 15 |