System Maintenance Menu -> Configure System Settings -> Automatic Job Scheduling -> Function XMLEXPAA -> runs Export Customer Balances
This utility can be used to generate an XML export data file for
a range of customers, outputting the customer balances directly to
an XML file, including the values for customer number, the balance
on a trx, and the associated document number.
The export also includes payment records with a non-zero balance,
and the document type.
A record is written for Customer Balance exports to the
View Application Log.
The XML export file is saved in the folder on the fileserver that is defined in the Company Daily Close Parameters.
The feature to automatically capture and export all customer
balances to an XML text file can be setup using Automatic Job Scheduling for job XMLEXPAA.
This export process is NOT triggered by any Daily Close
posting process.
The prompts in this export utility are:
Click CANCEL to abort the export action.
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