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International Cashed Checks

Description

The report was fundamentally revised and now posts directly via Call transaction to the outgoing checks account (including the clearing of the open item). Incorrect postings are put into a batch input session.

The log has been improved.

The house bank account table T012K is now used for the account determination instead of table T049F. You only have to enter the bank G/L account there. The bank subaccount is determined via clearing function.