Create Import Specifications
Use the Import file tab under the Bank reconciliation submodule to create import specifications.
To use the Bank Reconciliation submodule, you must have access to Finance & Administration as defined in the User Access Rights submodule under Settings.
To create an import specification:
- On the main toolbar, click Finance & Administration .
- If you have more than one company in your system, use the drop-down list above the left pane of the Finance & Administration screen to select the company for which you want to create a bank reconciliation import specification.
- In the left pane of the Finance & Administration screen, click .
- Click the Bank Account tab and highlight the bank account that you want to create an import specification for.
- Click the Import File tab and click Import .
- In the Bank Reconciliation Data Import dialog box, click the Setting tab and click Create Import Specification .
- Enter a specification name and use the drop-down list to select the file type that you want to associate with the new import specification.
- As available and as applicable, enter values for the Exclude Lines, Field Separator, and Separator Width Specification fields.
- Click Close.
Parent Topic: Import Bank Reconciliation Files