Update the bank journal composite entity
This article lists the steps needed to add the additional BankTransactionType field to the composite BankJournalEntity.
Use the following steps to add the additional BankTransactionType field to the composite BankJournalEntity.
Compile and synchronize the following bank journal composite entities, entities, and staging tables:
- Composite Entity\BankJournalEntity
- Entity\BankJournalHeaderEntity
- Entity\BankJournalLineEntity
- Table\BankJournalHeaderStaging
- Table\BankJournalLineStaging
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- Expose the Bank Transaction type on Source Data layout.
- Source data format = XML-Element
- Entity name = Bank Journal
- Upload data file = new version SampleBankJournalCompositeEntity.xml
- Click Yes to overwrite the existing file.
- Click Yes to generate mapping from scratch.
- Verify that the Bank Transaction Type is mapped.
- Click View map on Line entity.
- Verify that Bank Transaction type is mapped from Source to Staging.
- Expose the Bank Transaction type on Source Data layout.
Import the new statement.
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