Import transactions (bank reconciliation) #

Go to Bank Account Reconciliation and create a new bank account reconciliation.

From the  SMARTbank (1) tab in the ribbon , select the Import SMARTbank (2) function.

Choose dates #

Select the bank account and the dates for the period you want to import entries for.
Click OK, and the data will be updated in the bank account reconciliation journal.

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Go to AppSource