Note
If statement lines cannot be completely reconciled with the bank account ledger entries (automatically or manually), it is possible that the corresponding payments have not yet been posted. Use the function Transfer to General Journal to transfer the unreconciled amount displayed in the field Difference to a journal for posting.Difference | Reason | Resolution |
---|---|---|
A transaction in the internal bank account is not on the bank statement. |
The bank transaction did not occur although a posting was made in Business Central. |
Make the missing money transaction (or prompt a debitor to make it), and then reimport the bank statement file or enter the transaction manually. |
A transaction on the bank statement does not exist as a document or journal line in Business Central. |
A bank transaction was made without a corresponding posting in Business Central, for example a journal line posting for an expense. |
Create and post the missing entry. For information on a quick way to initiate this, see unter To create missing ledger entries to match bank transactions with in Business Central Online Help. |
A transaction in the internal bank account corresponds to a bank transaction but some information is too different to give a match. |
Information, such as the amount or the customer name, was entered differently in connection with the bank transaction or the internal posting. |
Review the information, and then manually match the two. Optionally, correct the information mismatch. |
Bank Account No. | Specifies the number of the bank account that you want to reconcile with the bank's statement. |
Statement No. | Specifies the number of the bank account statement. |
Statement Date | Specifies the date on the bank account statement. |
Import Additional Info. | Specifies additional information from the NCP Imports. Click on the field to display all additional information. |
Balance Last Statement | Specifies the ending balance shown on the last bank statement, which was used in the last posted bank reconciliation for this bank account. |
Statement Ending Balance | Specifies the ending balance shown on the bank's statement that you want to reconcile with the bank account. |
NCP Imports | This field indicates whether an import has already been performed and data are available. |
Bank Statement Lines | |
Open Journal Lines | Specifies the number of journal lines for this bank account reconciliation. |
Balance (Bank Statement Lines) | Specifies a balance, consisting of the Balance Last Statement field, plus the balance that has accumulated in the Statement Amount field. |
Total Balance (Bank Statement Lines) | Specifies the accumulated balance of the bank reconciliation, which consists of the Balance Last Statement field, plus the balance in the Statement Amount field. |
Total Difference (Bank Statement Lines) | Specifies the total amount of the Difference field for all the lines on the bank reconciliation. |
Balance (Bank Account Ledger Entries) | Specifies the balance of the bank account since the last posting, including any amount in the Total on Outstanding Checks field. |
Total on Outstanding Checks (Bank Account Ledger Entries) | Specifies the part of the bank account balance that consists of posted check ledger entries. The amount in this field is a subset of the amount in the Balance field under the right pane in the Bank Acc. Reconciliation window. |
Balance To Reconcile (Bank Account Ledger Entries) | Specifies the balance of the bank account since the last posting, excluding any amount in the Total on Outstanding Checks field. |
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