Following is the priority and the logic of how the “Match Automatically” function works in Bank Account Reconciliations in Dynamics NAV 2013
Priority
|
Bank Statement
|
Bank Account Ledger
|
Comment
|
1
|
Statement Amount
|
Remaining Amount
|
Will match if the amounts are identical
|
2
|
Description
|
Description,External Document No, Document No
|
Will match if the description text is identical or almost the same in any of the three fields
|
Payer Information
|
Description,External Document No, Document No
|
Will match if the payer information is identical or almost the same in any of the three fields
|
|
Transaction Information
|
Description,External Document No, Document No
|
Will match if the transaction information is identical or almost the same in any of the three fields
|
|
3
|
Transaction Date
|
Posting Date
|
Will match if the dates are identical or within the span of days specified in the “Transaction Date Toerance (Days)” field
|
Thank you and Regards,
Tharanga Chandrasekara