Bank reconciliation customization - wanted to scr...
# accounting
l
Bank reconciliation customization - wanted to script updates re cleared flag and datecleared - is that even possible? It would seem you cant even modify the form to reveal another field to show the date you know it reconciled. This is due to the fact we are moving an entire instance of NS to a new instance of NS - for a sold division. The banking is causing the most challenges. Wondered if anyone has any workarounds!!