Inclusion of Seven Banking Tables for General Ledger to Product Processor and Management Ledger to Product Processor Reconciliation

Seven new Banking tables are now added in the Balance Reconciliation. 

  • Commitment Contracts
  • Merchant Cards
  • Credit Derivatives
  • Trusts
  • Correspondent Accounts
  • Prepaid Cards
  • Forwards Contracts

Users have the ability to configure the Reconciliation rules using these new Product Processor Tables.

Steps to Enable

You don't need to do anything to enable this feature.