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When you post the payment reconciliation journal, it does not validate the last statement balance and statement ending balance value similar to Bank Reconciliation Journal.
Also after posting the payment reconciliation journal as a Post Payment and Reconcile Bank --> Navigate to the Statement and clicked on the Applied Entries and its does not hold the bank ledger entry link (where as if you post the Bank Reconciliation Journal, the Statement entries hold this link properly)
Also after posting the payment reconciliation journal as a Post Payment and Reconcile Bank --> Navigate to the Statement and clicked on the Applied Entries and its does not hold the bank ledger entry link (where as if you post the Bank Reconciliation Journal, the Statement entries hold this link properly)
STATUS DETAILS
Needs Votes
Comments
Bank transaction listings could be in any order. Even a manual entry of the Ending Balance would be better to complete a validation before it posts.
Category: Financial Management
Business Central Team (administrator)
Thank you for this suggestion! Currently this is not on our roadmap. We are tracking this idea and if it gathers more votes and comments we will consider it in the future.
Best regards,
Business Central Team