I am having an unusual situation here with NAV 2013.
Problem is when I open Bank Acc. Reconciliation(page 379) and I try to print my reconciliation report for the selected bank account,
all fields and their values show on the report but the field for Balances as per Cash Book just shows the figure zero
which should not be the case but in the classic of 2009 of the same object it shows the correct value.
It’s using a ReportItems collection to get the field and field values on the header of the report.
I’ve checked and everything seems okay. Cany anyone please tell me what I am missing?