Hi,
I’m trying to import a bank statetement to use for bank reconciliation with External File Assistant
I use the template STDBNKSTAT.
All I need to transfer from the bank is an amount and a date.
I try to import a file with that data, looking like this:
LINE_TYPE;TRANSACTION_DATE;TRANSACTION_CODE;CURRENCY_CODE;AMOUNT;CURRENCY_RATE;EQUIVALENT_AMOUNT;CUST_SUPP_ID;TRANSACTION_INFO1;TRANSACTION_INFO2;TRANSACTION_INFO3;TRANSACTION_INFO4;TRANSACTION_INFO5;TRANSACTION_INFO6;TRANSACTION_INFO7;TRANSACTION_INFO8;TRANSACTION_INFO9;TRANSACTION_INFO10;CLOSING_BALANCE;LEDGER_ITEM_ID;CUSTSUPP_NAME
;01-08-2020;;;123;;;;;;;;;;;;;;;;
It is matching the column ID’s of the External File Template:
When I try to import that, I get the error : “Control Rule Not Satisfied”
Do I need to fill all the columns in the file or is there a header missing?
I hope someone can help me out.
BR Kresten