Monday, 9 September 2013

Microsoft is boosting banking integration?? MS Dynamics News

When it's discharged in Gregorian calendar month, Microsoft Dynamics NAV 2013 R2 can provide new options to modify and improve the money management processes.
The new unharness can let customers register payments additional quickly to confirm quicker business processes with fewer human errors. Customers will import electronic payment files from banks and use them for payment registrations. Manual and automatic bank reconciliations also are doable, with the choice to import bank statements from banks and reconcile mechanically. an easy tool are often accustomed created automation, handle exceptions, and complete the reconciliation method.
Additionally, in NAV 2013 R2, bank statements are often foreign from third party suppliers. constant practicality can permit partners to make their own integrations to banks. The new unharness also can export payment information to AN electronic bank come in SEPA (the Single European Payment Area) compliant format. meaning the user will integrate electronically with any bank within the Single European Payment space and obtain higher potency within the payment method end-to-end.

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