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How to solve "Transport-level error occured when sending the request to the server, TCP Provider" in AX 2012

Hello Guys i have a quick technical question .

I've just developed a specifc job which iterate all cust invoice journals. and then save them on PDF files

I have more than 56000 Cust invoice record for only entity.

I start executing the job in Prod environement, i got only 503 PDF files extracted, and the job stopped after this error.

Do you know how to solve this issue, and how i can check the AX / SQL Server event log. to see what heppened and  underatnd this error is related to what exactly, 

The need is very urgent and my client wanna extract all invoices.

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Error in Name Space Microsoft.Client.DataServiceResponse response = null;

Budget Not Relieved Completely

Hi All,

I'm having issue with the budget check in AX 2012. For some reason, when I convert my Purchase Requisitions to Purchase Orders, the amount relieved from pre-encumbrances to encumbrances is not the full amount of the PR.

Sometimes the charges included in that PR is left in the pre-encumbrances side while the remaining amount is relieved to the encumbrances. For example, we have a PR with amount of 1.000.000 and charges of 100.000. When we create the PR, the pre-encumbrances record the total of 1.100.000. But we release it to purchase order, we have encumbrances of 1.000.000 and pre-encumbrances of 100.000.

The other time, when we convert the PR to PO on the next month, the pre-encumbrances value are still there but there is also the encumbrances value which caused the budget to be allocated twice. Is this the correct behavior in AX?

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Please let me know if there's some setting I missed. Thank you!

Regards,

Raymon

Error while recalculating the inventory closing - (Map object not initialized) 'budgetCheckResult' Map

Hi,

We are using AX 2012 R3 CU9, I am getting the below error message while recalculating the inventory. I tried to debug the code and i found a map called "budgetCheckResult" into class 'Class\ProjBudgetTransactionManager\ setBudgetCheckResultMap' declaration but unfortunately it is not listed into map list into AOT.

How can I find the map into AOT to trace it as the error is related to the map initialization?

Did anyone face the same error while recalculating the inventory??

Map object not initialized.

Stack trace

(S)\Classes\ProjBudgetTransactionManager\setBudgetCheckResultMap - line 14
(S)\Classes\ProjBudgetTransactionManager\negativeTransValidatedAmounts - line 89
(S)\Classes\ProjBudgetTransactionManager\increaseBudget - line 66
(S)\Classes\ProjBudgetTransactionManager\inventAdjustIncreaseBudget - line 32
(S)\Classes\ProjPost\inventAdjustPostBudgetUpdate - line 52
(S)\Classes\ProjPost\inventAdjustPost - line 120
(S)\Classes\InventAdjustPost\updateNow - line 65
(S)\Classes\InventCostHelp\updateLedgerPosting - line 93
(S)\Classes\InventCostLedgerPostingTask\doRun - line 12
(S)\Classes\InventCostHelpTaskBase\run - line 37
(S)\Classes\InventCostTaskControllerSingleThread\run - line 19
(S)\Classes\InventCostClosing\run - line 88
(S)\Classes\InventCostClosingRecalc\main - line 43
(S)\Classes\xMenuFunction\runServer
(C)\Classes\FormFunctionButtonControl\Clicked

Recalculation is being paused because of an error.

Where can we find report , forms, survey templates for Health check (Dynamics AX 2012)

Where can we find report , forms, survey templates for Health check (Dynamics AX 2012)

DMF Import Data

Hi, all ~ 

I  got a error  when i import data by DMF. 

A error message is only a sentence : 

An error occurred while writing the entity record

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The data insert the staging table , but when staging into entity occurred a error , and i do not know how to fix this ..

Attachments in Alert Emails

Hi Experts,

I have created a workflow for sales quotation procedure, when the salesman create and submit the quotation the sales manager receives an email notification mentioning that the quotation is created along with it's details. My requirement here is 

1. Either show customer Balance information (Ordered Amount, Credit limit,Credit remaining etc.) in the alert Email itself. 

2.  Or Create a report which shows above details for the respective customer account on the sales quotation and send it as a PDF attachment with the alert notification email. I can create the report but need technical advice to add it with Alert Emails.

Please let me know the possible ways to achieve it, Thanks in advance for the comments. 

Value Model does not exist for fixed asset

Hi All,

I've done necessary setup for Fixed Asset Module, i assume which is ready to post a FA journal voucher to test the setup.

However, when i try to validate entry, this error is poping up "Value Model does not exist for fixed asset".

Please help me to understand the issue.

Thanks,

Yugi


Unable to understand GL posting for VAT posting

I am posting a GL journal with two lines. Both lines have sales tax applicable and since one line is debit and another credit sales tax direction is also accordingly Sales tax receivable and sales tax payable respectively. When the transaction is posted, sales tax payable account is selected based on VAT posting profile we have set up but for sales tax receivable posting system is using debit line account and posting tax amount in the same account.

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I tried doing this couple of ways and getting different result for different combination. For eg: if I use a single line to enter GL entry (i.e. use offset account field for 2nd account) then system creates and entry where sales tax receivable is posted in the ledger account of line (Again system not using VAT posting profile) and credit goes to offset account.

Question is how does application decide which accounts to use for sales tax postings when GL journal is posted.

Thanks... 

Metered Billings - Subscription billing

Hi D365 experts, 

I am facing a scenario that I'm confused what functionality in the system to use and I really hope that somebody can help me with it. Here is my scenario: 

- All items are set up as Service items. The service is to pay my customers invoices on their behalf. 

- Customer has a fixed monthly fee of $25 that gives them 5 transactions

- This month, they processed 8 transactions

- We will be feeding the 8 transactions via integration into D365

- We need the system to understand that the first 5 transactions are "FREE" (included in the monthly fee subscription), and bill $4 per overage transaction. 

I looked into using Sales Agreements for this, but I'm not sure if that is the right functionality to use for this scenario. 

Any help is appreciated!

Kenan

DIXF Error while generating sales order

Hello,

I got the following error. Is that something over 1,720 lines are not accepted ?

The csv file contains 1,771 lines.

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Thanks for your help.

Best regards,

Split FA in Ax 2012

Hi All,

Greetings

I am new to AX 2012 with no mcuh exposure to FA.

My client wants to split a FA .I gave her the steps as to how to do in AX 2012.

When she tried to follow the steps she got the error that the'1' cannot be picked becuase 0.0 are available from inventory

The question from the client is as follows-

"For this method,  wonder is it ok if we manually add back the inventory and split the asset,  will the qty be reduced.

Eg.  We need to split to anther 4 assets,  shd we add back 4 quantity.  The would the qty be reduced when we split the asset? "

Can someone explain me what is this and what would be the solution to this.

(***I searched the class-Asset Split-Value models-Function--split FA(default functionality)? but i didnt get any thiing to reply to the user.

I need some finance person expertise, Plese help

Exclude PO's when running MRP

I would like to not have purchase orders created when I run master planning.

It must only generate transfer orders. If there are no stock, it should not create a purchase order. It can create a TOR and when processing you will get the standard warning of having no stock.

Please advise if there is a setting or will this be development?

Thanks

ESS(Enterprise Portal)-Workflow

Hi All,

I have a workflow defined for customized module of Appraisal

The end user uses ESS to submit the Appraisal request.

When the user re-calls the workflow the status of the performance management list page shows as cancelled instead of draft

I searched the forum and some says where the workflow is defined -the change request should be ticked in basic properties.

Some say modify the code

Can someone help me as how to achieve this functionality

Is there a different forum on ESS as the ESS questions dont get much answers,

Regards

ESS(Enterprise portal)-My approvals page in ESS -Do not show expenses

Hi,

The user has permission and everuthing

The user approves expenses through ESS in Ax 2012.

There is a page called as My Approvals which shows MRF list and also the expenses list which needs to be apporved.

however only the mRF is been displayed and the Expenses details are not shown in page.

I asked one of my collegeu and he said that the issue can be possibly solved by some enum parameters in the menu item or web menu items but he dont remember the enum parameter

I searched  entire thing and even found the property but the enum parameter has many values.

Can someone help please


User can't debug

Hi all

We add some user's to debug group but they can't debug, they restart their machines and still with the same error.

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Workflow for approving vendor does not prevent you from using unapproved data

Hi, 

I'm currently working on a customer that has a workflow set up where you need to approve the tems of payment and method of payment, and bank account. The problem is that even if this fields are not approved you can still choose them on the vendor in a payment journal for example. It's is not populated automatically but there is nothing stopping you from going in and just choose the payment method in the drop down list in the journal. Is that how the functiopnality should work?

where is trouble query from

Hi Friends,

Looking for suggestion to figure out where is the 'AX' query from, we ran into a problem, a query slows down entire system. See attached.

How can we find out where is this query from in AX, report, query or something else? it'd be better to figure who ran it.

I have searched tables names, but didn't find class or form related to it.

SELECT T1.EXCHADJUNREALIZED,T1.AMOUNTCUR,T1.AMOUNTMST,
T1.DUEDATE,T1.REFRECID,T1.CASHDISCOUNTLEDGERDIMENSION,T1.CASHDISCDATE,
T1.TRANSDATE,T1.POSSIBLECASHDISC,T1.ACCOUNTNUM,T1.USECASHDISC,T1.LASTINTERESTDATE,T1.SETTLEMENTPRIORITYCASHDISCDATE,T1.REPORTINGCURRENCYAMOUNT,T1.EXCHADJUNREALIZEDREPORTING,T1.TDSAMOUNT_IN,T1.TCSAMOUNT_IN,
T1.INTERESTAMOUNT_BR,T1.FINEAMOUNT_BR,T1.INTERESTCODE_BR,T1.FINECODE_BR,T1.INTERESTAMOUNTPAYMCUR_BR,T1.FINEAMOUNTPAYMCUR_BR,
T1.TAXWITHHOLDAMOUNTORIGIN_IN,T1.SETTLEDLINEPERCENT_IN,T1.SETTLEDTOTALAMOUNT_IN,T1.SKS_EPY_SENTTOEPAY,
T1.COLLECTIONLETTER,T1.COLLECTIONLETTERCODE,T1.DATAAREAID,T1.RECVERSION,T1.PARTITION,T1.RECID,
T2.ACCOUNTNUM,T2.TRANSDATE,T2.VOUCHER,T2.INVOICE,T2.TXT,T2.AMOUNTCUR,T2.SETTLEAMOUNTCUR,T2.AMOUNTMST,T2.SETTLEAMOUNTMST,T2.CURRENCYCODE,T2.DUEDATE,
T2.LASTSETTLEVOUCHER,T2.LASTSETTLEDATE,T2.LASTEXCHADJVOUCHER,T2.CLOSED,T2.TRANSTYPE,T2.APPROVED,T2.EXCHADJUSTMENT,T2.DOCUMENTNUM,T2.DOCUMENTDATE,
T2.LASTEXCHADJRATE,T2.FIXEDEXCHRATE,T2.LASTEXCHADJ,T2.CORRECT,T2.BANKCENTRALBANKPURPOSECODE,T2.BANKCENTRALBANKPURPOSETEXT,T2.SETTLEMENT,
T2.INTEREST,T2.COLLECTIONLETTER,T2.DEFAULTDIMENSION,T2.POSTINGPROFILECLOSE,T2.EXCHRATESECOND,T2.ACCOUNTINGEVENT,T2.EXCHRATE,T2.LASTSETTLEACCOUNTNUM,
T2.COMPANYBANKACCOUNTID,T2.THIRDPARTYBANKACCOUNTID,T2.PAYMMODE,T2.PAYMREFERENCE,T2.PAYMMETHOD,T2.CASHPAYMENT,T2.CONTROLNUM,T2.DELIVERYMODE,T2.POSTINGPROFILE,T2.OFFSETRECID,
T2.EUROTRIANGULATION,T2.ORDERACCOUNT,T2.CASHDISCCODE,T2.PREPAYMENT,T2.PAYMSPEC,T2.CUSTEXCHADJUSTMENTREALIZED,T2.CUSTEXCHADJUSTMENTUNREALIZED,T2.PAYMMANLACKDATE,T2.PAYMMANBATCH,
T2.PAYMID,T2.COLLECTIONLETTERCODE,T2.INVOICEPROJECT,T2.LASTSETTLECOMPANY,T2.CANCELLEDPAYMENT,T2.REASONREFRECID,T2.REPORTINGCURRENCYAMOUNT,
T2.REPORTINGEXCHADJUSTMENTREALIZED,T2.REPORTINGEXCHADJUSTMENTUNREALIZED,T2.LASTEXCHADJRATEREPORTING,T2.REPORTINGCURRENCYCROSSRATE,T2.EXCHADJUSTMENTREPORTING,
T2.SETTLEAMOUNTREPORTING,T2.APPROVER,T2.TAXINVOICESALESID,T2.CONCESSIONCONTRACTID,T2.CONCESSIONSETTLEMENTID,T2.RETAILCUSTTRANS,
T2.RETAILSTOREID,T2.RETAILTERMINALID,T2.RETAILTRANSACTIONID,T2.CUSTBILLINGCLASSIFICATION,T2.MCRPAYMORDERID,T2.DIRECTDEBITMANDATE,T2.PAYMSCHEDID,
T2.SKS_DD_ISDIRECTDEBIT,T2.MODIFIEDDATETIME,T2.DEL_MODIFIEDTIME,T2.MODIFIEDBY,T2.MODIFIEDTRANSACTIONID,T2.CREATEDDATETIME,
T2.DEL_CREATEDTIME,T2.CREATEDBY,T2.CREATEDTRANSACTIONID,T2.DATAAREAID,T2.RECVERSION,T2.PARTITION,T2.RECID,
T3.EXCHADJUNREALIZED,T3.AMOUNTCUR,T3.AMOUNTMST,T3.DUEDATE,T3.REFRECID,T3.CASHDISCOUNTLEDGERDIMENSION,T3.CASHDISCDATE,T3.TRANSDATE,T3.POSSIBLECASHDISC,T3.ACCOUNTNUM,T3.USECASHDISC,T3.LASTINTERESTDATE,T3.SETTLEMENTPRIORITYCASHDISCDATE,
T3.REPORTINGCURRENCYAMOUNT,T3.EXCHADJUNREALIZEDREPORTING,T3.TDSAMOUNT_IN,T3.TCSAMOUNT_IN,T3.INTERESTAMOUNT_BR,T3.FINEAMOUNT_BR,T3.INTERESTCODE_BR,T3.FINECODE_BR,T3.INTERESTAMOUNTPAYMCUR_BR,T3.FINEAMOUNTPAYMCUR_BR,T3.TAXWITHHOLDAMOUNTORIGIN_IN,T3.SETTLEDLINEPERCENT_IN,
T3.SETTLEDTOTALAMOUNT_IN,T3.SKS_EPY_SENTTOEPAY,T3.COLLECTIONLETTER,T3.COLLECTIONLETTERCODE,T3.DATAAREAID,T3.RECVERSION,T3.PARTITION,T3.RECID,
T4.LASTCOLLECTIONLETTERJOURDATE,T4.LASTCOLLECTIONLETTERCODE,T4.LASTCOLLECTIONLETTERNUM,T4.DATAAREAID,T4.RECID,
T5.DISPLAYVALUE,T5.RECVERSION,T5.RECID,
T6.PARTY,T6.DATAAREAID,T6.RECID 
FROM CUSTTRANSOPEN T1 CROSS JOIN CUSTTRANS T2 
CROSS JOIN CUSTTRANSOPEN T3 
LEFT OUTER JOIN CUSTTRANSOPENLASTUPDCOLLECTIONLETTER T4 
ON (((((T4.PARTITION=@P1) AND (T4.DATAAREAID IN (@P2) )) 
AND (T4.PARTITION#2=@P3)) AND (T4.DATAAREAID#2 IN (@P4) )) 
AND (T1.RECID=T4.CUSTTRANSOPENRECID AND (T1.DATAAREAID = T4.DATAAREAID) 
AND (T1.PARTITION = T4.PARTITION))) 
LEFT OUTER JOIN DIMENSIONATTRIBUTEVALUECOMBINATION T5 ON ((T5.PARTITION=@P5) AND (T1.CASHDISCOUNTLEDGERDIMENSION=T5.RECID)) 
CROSS JOIN CUSTTABLE T6 WHERE ((T1.PARTITION=@P6) AND (T1.DATAAREAID IN (@P7) )) AND ((T2.PARTITION=@P8) AND ((((T2.APPROVED=@P9) 
AND 1=@P10) AND (T1.ACCOUNTNUM=T2.ACCOUNTNUM AND (T1.DATAAREAID = T2.DATAAREAID) AND (T1.PARTITION = T2.PARTITION))) 
AND (T1.REFRECID=T2.RECID AND (T1.DATAAREAID = T2.DATAAREAID) AND (T1.PARTITION = T2.PARTITION)))) AND (((T3.PARTITION=@P11) 
AND (T3.DATAAREAID IN (@P12) )) AND ((T1.RECID=T3.RECID AND (T1.DATAAREAID = T3.DATAAREAID) AND (T1.PARTITION = T3.PARTITION)) 
AND (T1.RECID=T3.RECID AND (T1.DATAAREAID = T3.DATAAREAID) AND (T1.PARTITION = T3.PARTITION)))) AND (((T6.PARTITION=@P13) AND (T6.DATAAREAID IN (@P14) )) 
AND ((T6.PARTY=@P15) AND (T2.ACCOUNTNUM=T6.ACCOUNTNUM AND (T2.DATAAREAID = T6.DATAAREAID) AND (T2.PARTITION = T6.PARTITION)))) 
ORDER BY T1.ACCOUNTNUM,T1.AMOUNTCUR,T1.REFRECID,T1.DUEDATE,T3.RECID OPTION(FAST 3)

Button Event Handler

Hi everyone,

I want to add some code in a button of a form. Its postJournalButton. I want to add the code ONLY if the posted is done succesfully. 

 /// </summary>
    /// <param name="sender"></param>
    /// <param name="e"></param>
    [FormControlEventHandler(formControlStr(ProdJournalTransProd, PostJournal), FormControlEventType::Clicked)]
    public static void PostJournal_OnClicked(FormControl sender, FormControlEventArgs e)
    {
        FormRun         formRun = sender.formRun() as FormRun;
        FormDataSource  prodJournalProd_ds;
        ProdJournalProd prodJournalProd;
        prodJournalProd_ds  = sender.formRun().dataSource(2);   // form DataSource (el segundo en orden)
        prodJournalProd     = prodJournalProd_ds.cursor();      // Selected record

    IF (JOURNAL POSTED)
        MY CODE HERE
      

How can I achieve this?

Thanks.

No Data fetched when opening a form from listpage

Hi guys,

When I open "CustCollections" from “CustCollectionsActivitiesListPage” it is not populating the data from that listpage, it shows only a form with no data at all, I've checked this two forms and it seems they are standard, I also checked the menu item and it seems there are no changes. question is, what should I look at if i had this issue?, 

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I'll purely appreciate you help guys! 

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