Problem: I need to create the Data Exchange Definition for the ACH file I need to send to my bank for electronic funds transfer (EFT). How do I get the information from the bank? A history lesson (of sorts): What is ACH and is it any different from EFT? ACH (Automated Clearing House) files are…
Bank Reconciliation matches very few transactions
Problem: With the latest wave release for Business Central, I am required to stop using the bank reconciliation I am accustomed to and start using the bank reconciliation with auto-match. I created my Bank Statement Import using the “Set up a bank statement file import format” wizard. It only created a Data Exchange Definition with…
Keeping track of Wave Releases – what is planned, coming soon and available to try now
Problem: I thought that new thing in Business Central I just read about was going to be in this big wave release. Where is it? Or maybe, what seems like suddenly (but it’s not), you can no longer use the bank reconciliation method you have used previously. You must use the auto-match bank reconciliation, you have…