changes.mady.by.user Otto Alexandre Monteiro Altorfer
Gravado em 19 mar, 2019
Gravado em 02 jul, 2019
...
To enable automatic reconciliation, it is necessary to establish the EJ Table - Statement Occurrences and configure the Bank Statements Return File, both available in the Configurator environment.
To query registered CNAB Occurrences, check: