In a separate system I am calculating broker commission checks. I then want to integrate the check information (header and detail for the stub) into Great Plains, so the actual check can be printed and tracked within Great Plains AP module. Anyone have any suggestions / tips / warnings?
I'm using Great Plains 8.00g7 with dexterity 8.00m052, and a MS SQL Server.
Thanks
Steve
I'm using Great Plains 8.00g7 with dexterity 8.00m052, and a MS SQL Server.
Thanks
Steve