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I need some general help with setup to use payment journal - to export payments to file.
The bank account is setup, vendor is setup with bank connected.
What is this used for? I get a message when i try run the setup that i need to set this up. I get the information from the bank correct?
Bonus question, I need to do the export files in DKK (danish kroner) currency. What is needed to export it in DKK (I have done it in EUR succesfully)? I get error messages sometimes telling me something is wrong with the currency code. Even tough i have set DKK in following pages - bank account , vendor , vendors bank.
Thanks in advance
A global provider of services to convert bank data to any file format that your bank requires is set up and connected.
You can use the Bank Data Conversion Service feature to have a bank statement file that you receive from your bank converted to a data stream that you can import into Microsoft Dynamics NAV.
Reversely, you can use the conversion service to have payment information that you export as a data stream converted to a bank payment file in the format that your bank requires.
See bellow link for more info. How to: Set Up Bank Data Conversion Service
For your bonus question, you have to also setup Currency Code for Vendor Card, Bank Account.
Thats cool - thanks. So its both for Bank Acc. Reconciliation and the Export of payment files. So you get the username and password from the bank right?
In the case of the number 2 screenshot, I have the same currency code in Bank Account, Vendor Card and Vendors Bank, but still get the message.
Hi,Watch these videos for more info.
How Do I: Reconcile Bank Payments in the Reconciliation Journal in Microsoft Dynamics NAV 2015
Use bank data conversion to export payment & import bank statements in Microsoft Dynamics NAV 2015
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