Reject Bank Statement Record

Overview

The purpose of this functionality is to allow the user to reject a group of bank reconciliation records received through the Bank Statement Web Service. The group of records must be filtered by bank and account. The screen will retrieve the records for those filters with the latest date received, no other previous date may be retrieved for rejection.

 

Navigation

Treasury Management ► Bank Reconciliation ► Reject Bank Statement Record

 

Reject Bank Statement Record screen fields and Tab

FieldsDescription

Bank

Select the Bank from the existing list by clicking on the look up button. 

Bank NameDisplay the name of the selected Financial Institution. 

Treasury Bank Account

Treasury Bank Account Number existing in Bank Reconciliation entities for the Financial Institution.

Financial Institution

Display a list of values of available Financial Institutions name.
Rejection reasonShort description.
Start DateDate and Time in which the update failure occurs.