Is there any documentation of the perform logic in VI? My company is currently feeding check clears directly into the BR_Transaction table using SQL logic. Unfortunately this does not update the running total "Out of Balance By" in the bank rec module. I am assuming that the perform logic for any VI job using BR_Transaction (..\BR\BR_VIPerform.M4P;BR_) updates the running total field. Is there a way to use this perform logic outside of VI?
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