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Value Date Field, Bank Acc. Reconciliation Line Table

Specifies the value date of the transaction on the bank reconciliation line.

You can use this field to enter the official date when funds are available and when interest is calculated on the amount on the reconciliation line.

Tip

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Parent Tables

Table Location
Bank Acc. Reconciliation Line Table General Ledger
Bank Acc. Reconciliation Line Table General Ledger

See Also

Reference

Bank Acc. Reconciliation

Other Resources

How to: Enter Dates and Times