
Can any one tell me what is Bank Reconciliation and how to do the bank reconciliation process in ax?
Thanks & Regards
Rajesh
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I have the same question (0)You can use Cash and bank management to maintain the legal entity’s bank accounts and the financial instruments that are associated with those bank accounts. These instruments include deposit slips, checks, bills of exchange, and promissory notes. You can also reconcile bank statements and print bank data on standard reports.
Please follow following link for details related to Bank Reconciliation
technet.microsoft.com/.../aa572690.aspx
technet.microsoft.com/.../jj729753.aspx
technet.microsoft.com/.../jj729751.aspx
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