How to Reconcile Bank Statements Using Dynamics 365 Finance This feature enables businesses to import electronic bank statements and automatically reconcile them with bank transactions In this two part blog series, we will explain the reconciliation process in detail, from importing the electronic bank statement to validating and reconciling the statement
Reconcile bank statements by using advanced bank reconciliation The Advanced bank reconciliation feature lets you import electronic bank statements and automatically reconcile them with bank transactions in Dynamics 365 Finance This article explains the reconciliation process