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Additional Reporting Currency management during data migration

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Hi Experts,

We are in the process of implementing a new customer. We have successfully migrated existing customer data. Now, we want Navision to automaticly generate Reporting Currency data (additional currency data).

In Setup->General Ledger Setup->Reporting, we selected the reporting currency. Then a message announcing that a batch job will run is displayed. On validation of this message box, nothing happens. No data related to Additional Reporting Currency is generated.

But surprisignly, when a new transaction is posted, LCY and Reporting currency data are created in the GL.

Anyone has an idea how to sort out this issue ? Thanks in advance

Isto.

 


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