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IC Outbox Transactions Window

Contains the intercompany transactions that you have set up to send to your intercompany partners. In this window, you indicate what action you want the program to take on each line.

Each line in the window represents a document or journal (a transaction). A line can contain a transaction that originated in your company or a transaction that you received in your inbox from an intercompany partner and rejected. (When you reject a transaction in your inbox, the program moves it to your outbox to be sent back to your partner.)

For each transaction, you can get an overview of the individual sales or purchase lines by looking at the related details window.

Tip

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See Also

Reference

IC Outbox Transaction

Other Resources

How to: Handle Outgoing Intercompany Transactions