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Procedure documentationImporting Bank Statements Automatically Locate this document in the navigation structure

Prerequisites

The bank file containing the required bank statement is located on an accessible server or PC client.

Procedure

  1. From the SAP Business One Main Menu, choose   Banking   Bank Statement and External Reconciliation   Bank Statement Processing  .

  2. In the Bank Statement Summary window, specify information in the general area fields, and then choose the Import from File button.

  3. In the folder list, locate and open the folder containing the required bank file.

  4. Select the bank file and then choose the Open button to start importing the bank file automatically.

Result

The bank statement information appears in the Bank Statement Details window. You can now perform internal and external reconciliation and create a draft bank statement.