How Do I: Reconcile Bank Payments in the Reconciliation Journal in Microsoft Dynamics NAV 2015

How Do I: Reconcile Bank Payments in the Reconciliation Journal in Microsoft Dynamics NAV 2015

How Do I: Reconcile Bank Payments in the Reconciliation Journal in Microsoft Dynamics NAV 2015

This video demonstrates how to reconcile incoming and outgoing bank payments in a payment reconciliation journal in Microsoft Dynamics NAV 2015. For more information, please visit our Getting Ready page here https://mbs.microsoft.com/partnersource/northamerica/readiness-training/readiness-training-news/GetReadyforMicrosoftDynamicsNAV

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