| 1. |
Use the appropriate method:
• In Microsoft Dynamics GP 10.0, point to Tools on the Microsoft Dynamics GP menu, point to Customize , and then click Report Writer .
• In Microsoft Dynamics GP 9.0 or in Microsoft Business Solutions – Great Plains, point to Customize on the Tools menu, and then click Report Writer .
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| 2. |
In Report Writer, click Tables , and then click Tables . |
| 3. |
In the Tables window, click the PM_Payment_Apply_WORK table, and then click Open . |
| 4. |
In the Table Definition window, click Relationships . |
| 5. |
In the Table Relationship window, click New . |
| 6. |
In the Table Relationship Definition window, click the ellipsis button (...) to the left of the Secondary Table field. |
| 7. |
In the Relationship Table Lookup window, click the PM Transaction OPEN File table, and then click OK . |
| 8. |
In the Secondary Table Key field, select PM_Transaction_OPEN_Key 2 . |
| 9. |
In the Primary Table list, select the following fields in the following order, and then click OK :
| a. |
Apply To Document Type |
| b. |
Voucher Number |
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| 10. |
Close the Table Relationship window. |
| 11. |
Click OK to close the Table Definition window, and then click Save if you are prompted to save the changes. |
| 12. |
In the Tables window, click the PM_Transaction_OPEN table, and then click Open . |
| 13. |
In the Table Relationship window, click Relationships . |
| 14. |
In the Table Relationship window, click New . |
| 15. |
In the Table Relationship Definition window, click the ellipsis button (...) to the left of the Secondary Table field. |
| 16. |
In the Relationship Table Lookup window, click the Record Notes Master table, and then click OK . |
| 17. |
In the Secondary Table Key field, select SY_Record_Notes_MSTR_Key_1 . |
| 18. |
In the Primary Table list, click Note Index , and then click OK . |
| 19. |
Close the Table Relationship window. |
| 20. |
Click OK to close the Table Definition window, and then click Save if you are prompted to save the changes. |
| 21. |
Close the Tables window. |
| 22. |
In Report Writer, click Reports . |
| 23. |
In the Original Reports section, click the Check Remittance report, and then click Insert . |
| 24. |
In the Modified Reports section, click the Check Remittance report, and then click Open . |