Payment Differences may be handled directly from the bank statement.
To do so, payment difference reasons must be setup.
A payment difference reason determines how the payment difference is posted in the general ledger.
1. Setting up Payment Difference Handling
- Enable the feature under Setup > Company > General Preferences > Custom Preferences > ERP > Fast Four Bank Reconciliation
- Go to Setup > Bank Reconciliation Setup > Setup Payment Diff Reasons
- Some Examples:
2. Using Payment Difference Handling
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