Dear all,
How can you automatic match one of the bank statement in a CAMT.053 to a supplier payment?
For example:
I got a CAMT.053 with this information:
</Ntry>
<Ntry>
<Amt Ccy="EUR">39.33</Amt>
<CdtDbtInd>DBIT</CdtDbtInd>
<Sts>BOOK</Sts>
<BookgDt>
<Dt>2021-08-10</Dt>
</BookgDt>
<ValDt>
<Dt>2021-08-10</Dt>
</ValDt>
<AcctSvcrRef>XXXXX</AcctSvcrRef>
<BkTxCd>
<Domn>
<Cd>PMNT</Cd>
<Fmly>
<Cd>ICDT</Cd>
<SubFmlyCd>ESCT</SubFmlyCd>
</Fmly>
</Domn>
<Prtry>
<Cd>N658</Cd>
<Issr>ABNAMRO</Issr>
</Prtry>
</BkTxCd>
<NtryDtls>
How must I setup IFS so the in the external payment I See that it's a supplier payment?