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.