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CA

CASummaryOnReconDate

PX.Objects.CA
Field NameTypeDisplay NameForeign Key
CashAccountIDDefault Navigation
intCash Account-
Description:The cash account under reconciliation.
ReconNbrDefault Navigation
nvarchar(15)CARecon
Description:The identification number of the reconciliation statement, which the system assigns when the user saves the statement.
AmtReleasedClearedCr
decimal(19, 4)-
Description:No description available
AmtReleasedClearedDr
decimal(19, 4)-
Description:No description available
AmtReleasedUnclearedCr
decimal(19, 4)-
Description:No description available
AmtReleasedUnclearedDr
decimal(19, 4)-
Description:No description available
ReconDate
datetime2Reconciliation Date-
Description:The date when the reconciliation statement was released and closed. A user can change the date up to the release.