Bank Account Aliases: This window is used to create Bank Account Aliases when using MT940 Bank Statement Formats.
- Microsoft Dynamics GP
- Advanced Bank Reconciliation
- Guides
- Install and User Guide
- ABR Setup
- Bank Account Aliases
- Guides
- Install and User Guide
- Overview and Features
- Installation and Registration
- ABR Setup
- Utilities
- Routines
- Maintenance (ABR Check Links)
- Financial
- Inquiry
- Reports
- Creating Beginning Balances for Bank Accounts
- Using Advanced Bank Reconciliation
- Appendix A: BAI File Format
- Appendix B: Standard Bank Format
- Appendix C: Functional Currency
- Appendix D: Consolidate Range Selection Wildcard Options
- Appendix E: ABR Extract Process (Diagram)
- Appendix F: Frequently Asked Questions
- Downloads
- Release Notes
Bank Account Aliases
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In this guide
- ABR Extract Options (ABR Setup)
- Bank Setup (Bank Account ID Setup)
- BAI Format Options
- Extract Options (Optional)
- Bank ID Reconcile Propose Rules
- Bank Account Aliases
- Reconcile Rules (Reconcile Propose Rules)
- Statement Import Format (Format Definition)
- Import Maintenance (Import Definitions)
- BAI Transaction Type Setup (BAI Transaction Types)
- BAI Currency Setup
- BAI Format Options
- Deposit Groups (Deposit Group Maintenance)