When you export data to Microsoft Excel from the Transaction Enquiry/Void window in Cashbook Bank Management in Microsoft Dynamics GP 9.0, incorrect dates are exported. This problem occurs if the Deposit Date field or the Reconciled Date field contains the value 00/00/0000. In this situation, the date appears as "30/11/1999" in the Excel worksheet.
Note This article applies only to installations in the United Kingdom.
Note This article applies only to installations in the United Kingdom.