Related Party Matched Field, Bank Pmt. Appl. Rule Table
Specifies how much information about the customer or vendor, such as address, city name, and bank account number, on the payment reconciliation journal line must match with information on the open entry before the application rule will be used to automatically apply the payment to the open entry.
You can select between the following options:
Option | Description |
---|---|
Not Considered |
Matching results for information about the customer or vendor (related party) will be ignored. However, matching will still occur as for all options, Fully, Partially, and No). Use this if you want the match confidence to be determined by other information than about the related party. |
Fully |
The application rule requires that one of the following criteria, in prioritized order, is fulfilled
|
Partially |
The application rule requires that one of the following criteria, in prioritized order, is fulfilled
|
No |
The application rule is used when the related party cannot be matched in any way. |
In the Payment Application Rules window, you choose to what degrees you want specific data on a payment reconciliation journal line to match with data on one or more open entries before the related payment is automatically applied to the open entries. The quality of each automatic application according to application rules is shown as a value of Low to High in the Match Confidence field in the Payment Reconciliation Journal window. For more information, see How to: Set Up Rules for Applying Payments Automatically.
Tip
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Parent Tables
Table | Location |
---|---|
Bank Pmt. Appl. Rule Table | General Ledger |
Bank Pmt. Appl. Rule Table | General Ledger |
See Also
Reference
Amount Incl. Tolerance Matched
Doc. No./Ext. Doc. No. Matched
Match Confidence
Match Confidence
Payment Reconciliation Journal
Payment Application Rules
Other Resources
How to: Automatically Apply Payments to Open Documents
How to: Review and Apply Payments after Automatic Application
How to: Set Up Rules for Applying Payments Automatically
How to: Map Payment Text to Accounts to Assist Automatic Application
How to: Import Bank Statements