Namespace Microsoft.Bank

Namespace

Name Description
Microsoft.Bank.BankAccount Provides comprehensive bank account management functionality for Business Central, enabling organizations to manage bank account master data, payment processing configurations, and multi-currency banking operations. Supports bank account setup, payment method definitions, online banking integration, and automated payment export capabilities.
Microsoft.Bank.Check Manages the complete lifecycle of physical and electronic checks within Business Central's banking system. Provides comprehensive check processing functionality including check creation, printing, voiding, financial reconciliation, and positive pay export capabilities.
Microsoft.Bank.Deposit Provides extensible navigation components for bank deposit functionality in Microsoft Dynamics 365 Business Central. Serves as a bridge layer that delegates deposit page and report access to extension implementations, primarily the Bank Deposits extension.
Microsoft.Bank.DirectDebit Provides comprehensive direct debit collection functionality for SEPA and other direct debit standards. This namespace implements the complete lifecycle of direct debit processing, from mandate management to collection execution and file generation. The architecture supports multiple payment standards through dedicated export handlers and validation routines.
Microsoft.Bank.Ledger Provides comprehensive bank account ledger entry management for transaction tracking and reconciliation. This namespace implements the complete bank account transaction lifecycle from entry creation through application processing and historical analysis. The architecture supports detailed transaction tracking with running balance calculations and audit trail maintenance.
Microsoft.Bank.Payment Provides comprehensive payment processing functionality for Microsoft Dynamics 365 Business Central. Enables payment registration, export, credit transfers, and document matching with extensive banking integration capabilities.
Microsoft.Bank.PositivePay Provides positive pay functionality for bank account management, enabling secure check validation with banks. The positive pay system allows companies to upload check information to banks for verification against presented checks, helping prevent check fraud.
Microsoft.Bank.Reconciliation
Microsoft.Bank.Reports
Microsoft.Bank.Setup Provides essential configuration components for banking operations in Microsoft Dynamics 365 Business Central. Manages bank account configurations, payment service integrations, electronic banking formats, and reporting setups required for modern banking workflows.
Microsoft.Bank.Statement