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bank reconciliation
About this tag
Bank reconciliation in Microsoft Dynamics AX 2012 R2 involves importing electronic bank statements and reconciling them with bank documents. This process is covered in a white paper on Advanced Bank Reconciliation implementation. The tag focuses on the technical and functional aspects of bank reconciliation within the Dynamics AX enterprise resource planning system, particularly for version 2012 R2. Users seeking guidance on setting up or troubleshooting bank reconciliation in Dynamics AX will find relevant discussion and documentation linked from this tag.
In Microsoft Dynamics AX 2012 R2, you can import electronic bank statements and reconcile the imported bank statements with bank documents.
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