dqs advanced bank reconciliation

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Match your banks to Standard 43 in Dynamics 365 Finance and Operations DQS ADVANCED BANK RECONCILIATION USER MANUAL

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Page 1: DQS ADVANCED BANK RECONCILIATION

Match your banks to Standard 43 in Dynamics 365 Finance and Operations

DQS ADVANCED BANK RECONCILIATIONUSER MANUAL

Page 2: DQS ADVANCED BANK RECONCILIATION

The DQS Advanced Bank Reconciliation application allows easy management of all tasks related to advanced bank reconciliation according to the N43 standard in Spain in Dynamics 365 Finance and Operations.

Page 3: DQS ADVANCED BANK RECONCILIATION

1) Import the bank statement following this route:

Cash and bank management > Norm 43 > N43- Import

Page 4: DQS ADVANCED BANK RECONCILIATION

2) Load the Bank statement.

Page 5: DQS ADVANCED BANK RECONCILIATION

3) Create the statement.

Page 6: DQS ADVANCED BANK RECONCILIATION

4) The bank statement will be automatically validated in the following route:

Cash and bank management > Bank account reconciliation > Bank statement

Page 7: DQS ADVANCED BANK RECONCILIATION

5) Select the Bank account and press New button.

Page 8: DQS ADVANCED BANK RECONCILIATION

6) Press Worksheet button:

Page 9: DQS ADVANCED BANK RECONCILIATION

7) Press Process automatic transactions buttons:

Page 10: DQS ADVANCED BANK RECONCILIATION

8) Press Run matching rules button:

Page 11: DQS ADVANCED BANK RECONCILIATION

9) Select the transactions which want to conciliate and press the Match button:

Page 12: DQS ADVANCED BANK RECONCILIATION

10) Press the Mark as reconciled button:

Page 13: DQS ADVANCED BANK RECONCILIATION

Contact us for more information

[email protected]

www.dqsconsulting.com