What is the purpose of the Balance Synchronization program (AXXBLSYN) for Global Accounting AX ?
Hello,
We would like to know what is the objective of the Balance Synchronization program (AXXBLSYN) that is available in AX (AP, AR or INV) within the 'AX Payables Supervisor ' request group. We found this information in the AXTRM document but this is not really clear:
Update existing General Ledger code combinations control account value
Does someone know what this program does exactly please ? In which context we should run it ?
Many thanks for your feedback,
Renaud.