RetailTransactionServiceTransactions::createCashDisbursementSlip_RU Method [AX 2012]
Creates cash disbursement slip.
Syntax
client server public static container createCashDisbursementSlip_RU(
RetailStoreId _storeId,
CurrencyCode _currencyCode,
AmountCur _amountCur,
TransDate _transDate,
CustAccount _custAccount,
BankCentralBankPurposeText _reasonOfReturn,
PersonName _represPersonName,
PayeeDocument_RU _represPersonCardInfo,
DocumentNum _documentNum,
DocumentDate _documentDate)
Run On
Called
Parameters
- _storeId
Type: RetailStoreId Extended Data Type
Retail store ID.
- _currencyCode
Type: CurrencyCode Extended Data Type
Currency code
- _amountCur
Type: AmountCur Extended Data Type
Amount in currency
- _transDate
Type: TransDate Extended Data Type
Transaction date
- _custAccount
Type: CustAccount Extended Data Type
Customer account
- _reasonOfReturn
Type: BankCentralBankPurposeText Extended Data Type
Reason of cash return.
- _represPersonName
Type: PersonName Extended Data Type
The name of the representative person.
- _represPersonCardInfo
Type: PayeeDocument_RU Extended Data Type
Representative person card info.
- _documentNum
Type: DocumentNum Extended Data Type
Document number.
- _documentDate
Type: DocumentDate Extended Data Type
Document date.
Return Value
Type: container
A Container holding result info.
Remarks
Container structure by positions: 1 - operation status (true means operation succeeded; false - an application error occured), 2 - error message (optional), 3 - created disbursement slip ID.