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Cash and bank management, Dynamics 365 for Finance and Operations, Functional (D365FO)

Bank reconciliation worksheet errors on 10.0.41

A bank reconciliation worksheet issue was identified in Dynamics 365 for Finance and Operations after update 10.0.41, causing errors during worksheet access. Microsoft recommended disabling a specific flight and modifying a parameter in the Cash and bank management module to fix it. The solution varies for Tier-1 and production environments.

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Dynamics 365 for Finance and Operations, Technical (D365FO)

D365: When and how to use mapEntityToDatasource() method

This method, mapEntityToDataSource(), is used in Dynamics 365 for Finance and Operations to initialize datasource fields or create datasource table records while importing data. It checks for existing records and initializes fields based on specific conditions. Understanding data entities and management is essential for utilizing this method effectively.

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Dynamics 365 for Finance and Operations, Technical (D365FO)

D365: Get worker email address by purpose in X++

This content demonstrates how to obtain a worker’s email address based on a specific purpose, such as “Purchase Order,” within Dynamics 365 for Finance and Operations. It includes a solution involving an extension class of the HcmWorker table to achieve this, using a provided code example for reference. The method can be called to initialize a temporary table buffer.

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