on 2019 Apr 11 11:46 AM
Hello ,
We have the follow issue:
How we can make a combination between two contracts in FPCJ Transaction, for example when a user tries to cash the open items for the contract “A”, the open items of the Contract “B” will also have to be displayed for cashing in FPCJ transaction.
We have contract forwarded and we will use this method to ensure that all open items in the old contract are paid.
We did not use the fp40 and fp40n transfer transactions so as not to lose the traceability in the old contract.
Please help me on this. Any help will be appreciated.
Thank you.
Best Regards,
Abdelbasset BENCHEKROUN
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