How to: Import and Reconcile Bank Statements
Banks provide electronic bank statements for all your financial interactions. You can import these statements into the bank or giro journals.
The import bank statement is supported by the following protocols:
Rabobank mut.asc
Rabobank vvmut.ac
Rabobank ASCII
SEPA CAMT
For more information, see Import Protocol.
To import and reconcile bank statements
In the Search box, enter Import Bank Statement, and then choose the related link.
In the Import Protocol List window, select the required import protocol, and then choose the OK button.
To reconcile the bank statements automatically when importing, on the Options FastTab, select the Automatic Reconciliation check box.
Note
This function does not work for bank statement files of type SEPA CAMT. Instead, use the Match Automatically action in the Bank Acc. Reconciliation window. For more information, see How to: Match Bank Statement Lines with Bank Account Ledger Entries.
Choose the OK button.
To import the file that contains the electronic bank statement, specify the file name and path, and then choose the Open button.
The electronic bank statement is imported into the bank or giro journals. For more information, see Dutch Electronic Banking.
See Also
Reference
Import Protocol
Reconciliation Status
CBG Statement Line
Bank/Giro Journal
Concepts
Other Resources
How to: Match Bank Statement Lines with Bank Account Ledger Entries