/
Posting the journal
Direct Banking
Posting the journal
After the export of the payment is initiated the Payment journal can be posted. W1 only
The posting of the journal will execute the applying of the related vendor ledger entries.
When posted and your business central setup is set on the option bank reconciliation the posted ledgers will be transferred to the bank reconciliation journal when the import of transactions is finished.
, multiple selections available,
Related content
Reconciliation of transactions
Reconciliation of transactions
More like this
Payment application
Payment application
More like this
Creation and signing payments
Creation and signing payments
More like this
W1 Export direct banking from journal
W1 Export direct banking from journal
More like this
Reconciliation of created payment
Reconciliation of created payment
More like this
Bank account reconciliation
Bank account reconciliation
More like this
IDYN 2024