AIF Vendor Electronic Payment - AX 2012
Problem Step 5: Create new processingdate  record.
Click Create ports. It will create and deploy an Outbound port over AIF.
Problem Step 10. Click the OK button. 
| Problem Step 1: User left click on "Microsoft Dynamics AX 2012 ( | 
| No screenshots were saved for this problem step. | 
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Problem Step 2: Go to development environment. Press ctrl+D to open AOT >> Resources >> VendPayments_SEPACreditTransfer_xslt. 
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Right  
Problem Step 3: Go to System administration >> Services & Application Integration Framework >> Electronic Payment Services >> Outbound ports for electronic payments.  
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Specify the SEPA XSLT exported in Step 2 in XSLT field. Define the Outbound folder, where the payment xml will be pushed.  | ||
Problem Step 5: Create new processing
Click Create ports. It will create and deploy an Outbound port over AIF.
Create new journal 
Problem Step 7: Click the Lines button. 
Create new lines 
Problem Step 9: Click the OK button.  | 
Goto AOT >> Jobs and run the job to process  AIF message.
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