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general:bankreconciliation:utilities:autobankreconciliation:body

This tab is used to import a bank file with bank transactions. Once the bank transactions are imported, they are saved as pending.

Auto Bank Reconciliation file layout

Import bank transactions for auto bank reconciliation:

Field Description
Bank Account GrpType the bank account group code(s) to be used. If the bank account group code is not known, click Ellipsis Icon. The Bank Account Grp lookup is displayed. This field is required.
Import Path

Click Browse. The File name pop-up window opens.

Select a file and click Open. The pop-up window closes and the file name is displayed in the Import Path field.

Click Cancel to close the pop-up window without selecting a file.

❏ Click Execute to execute the process. If errors are encountered, an error report is displayed.

You can toggle between the summary and the error report.

  • Click the Summary Report button to view the Summary Report.
  • Click the Error Report button to view the Error report.

Review the report.

If no errors are encountered, the Error Report and Summary Report buttons are not displayed.

❏ Click Process to import the transactions listed on the Summary Report to the Maintenance > Bank Reconciliation page. The Process button is only displayed if there are valid transactions to be imported.

  • The bank account numbers in the file are verified with the account numbers for the selected bank account groups.
  • The check numbers are first verified with MICR numbers, and then with the check numbers for the selected bank account group and account number. In addition, the check amounts in the file are verified with the check amounts in the system.


❏ Click Cancel to cancel the process and return to the Auto Bank Reconciliation page.

general/bankreconciliation/utilities/autobankreconciliation/body.txt · Last modified: 2022/08/02 15:52 by emoreno