
Microsoft Dynamics NAV 2016 Financial Management
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A payment reconciliation journal is where we specify payments, either incoming from customers or outgoing to vendors, that have been recorded as transactions on your electronic bank site and that need to be applied to their related open entries.
You can perform the following main activities in the Payment Reconciliation Journal window:
Import files with bank transactions for payments that have been made to or from your bank account and then automatically apply the payments to their related open entries.
Review and manually apply payments that were applied automatically to wrong open entries, or were not applied at all, from the Payment Reconciliation Journal window, shown as follows:
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