BankExchAdjPL::setExclExchAdj_PL Method [AX 2012]
Sets the exchange adjustment field for the bank transaction.
Syntax
server public static void setExclExchAdj_PL(BankAccountTrans _bankAccountTrans, PlExcludeExchAdj _excludeExchAdjustment_PL)
Run On
Server
Parameters
- _bankAccountTrans
Type: BankAccountTrans Table
The bank transaction record.
- _excludeExchAdjustment_PL
Type: PlExcludeExchAdj Extended Data Type
The exclude exchange adjustment value: either yes or no.