Refer to documentation Implementation
Fields
The following fields are present on this tab :
Bank statement import
| Enter or select the bank import setting code you defined in the Bank import settings function (BSIIMPPAR). |
| This field displays the company based on the Bank import setting. If this field is blank, you can enter a value. |
| This field displays the bank based on the Bank import setting. If this field is blank, you can enter a value. This field is greyed-out when importing CFONB file types. |
| This field displays the file format based on the Bank import setting. If this field is blank, you must enter a value. |
| This field displays the flow type based on the Bank import settings. You cannot modify the type. Reminder:
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File
| This field indicates if the source file is located on your Client (computer) or on a Server. |
| This field displays the server volume or directory if Server is selected in the Source field. If this field is blank, you can enter a value. |
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Matching date range
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Close
This function can be run in batch mode. The standard task BSIIMPORT is provided for that purpose.