Question

Bank Reconciliation - IFS APPS10

  • 1 September 2023
  • 1 reply
  • 48 views

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Hi,

Could someone please explain where we enter the Bank Transaction Code & Cash Transaction Date in the Payment Transaction processed through Mixed Payment & Supplier Payment Proposal. Because both the fields are appearing in the Automatic Transaction Matching screen but we are not able to identify the same. In Mixed Payment i can see the Bank Transaction Code at Transaction Details but want to ensure that. 

 


1 reply

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Hi,

Could anyone please help on this

 

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