Question

How to Set-up the Bank Statement using Standard Bank Statement File?

  • 12 April 2024
  • 0 replies
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Hello,

I am hoping someone can help me understand how to set-up our monthly bank statements to map the Standard Bank Statement File in the External File Assistant? What are the main components that my file MUST include in order for IFS to read the data and match it to the posted cash transaction? Can it be an Excel file? I am using IFS Applications 8 for reference and would like to utilize the automatic bank reconciliation feature.

Visuals of how you have your bank statements set-up for this process would be helpful as I’m stuck!

Thank you!


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