In Microsoft Dynamics 365 for Finance and Operations, against the Advanced bank reconciliation Module, we can import electronic bank statements and automatically reconcile them.
The article below will explain the set up processes for reconciliation.
Advanced bank reconciliation setup process
Days ago I spent some time in order to handle a new XML Tag.
The link below explain the basic…
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Dynamics AX = Denis Macchinetti: How to handle a new TAG in the ISO20022 bank statements
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