Posting methods for bank statements.
Posting methods for bank statements.
| Member | Value | Description |
|---|---|---|
| pmGLAccountBankAccount | 0 | G/L Account from/to Bank Account. Indicates:
|
| pmBussinessPartnerBankAccount | 1 | Business Partner from/to Bank Account. Indicates:
|
| pmInterimAccountBankAccount | 2 | Bank Interim Account from/to Bank Account. Creates a journal entry that is internally reconciled on the interim bank account side, and externally reconciled on the bank account side. |
| pmExternalReconciliation | 3 | External Reconciliation. Indicates that only external reconciliation is performed on the bank account side, but that no transaction is posted. |
| pmIgnore | 4 | Ignore. Prevents any of the automatic actions described above. |