Hi,

I have 20 deposits in BankRec for the same day (i.e. Dec.13). The bank statement gets imported and the deposit shows as a lump sum on the next day (i.e. Dec.14).

Is it possible to setup a statement rule that will match the 20 deposits from BankRec to the 1 deposit on the bank statement that's on the next day?
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Miriam Wiebil
ChoiceTech Accounting Solutions