On this page you will find information about the option to add custom columns to the pop-up that will help you to determine which transactions to select in order to reconcile the bank statement line.
The Bank Reconciliation tool uses a pop-up window to show the user potential transactions that can be selected to reconcile. The pop-up shows by default the following columns:
To get better insights in the transactions available for reconciliation we offer the user the option to include additional columns that display data from the transaction
To add a custom column navigate to SETUP→BANK RECONCILIATION SETUP→BANK ACCOUNT CONFIGURATION. At the bottom of the page go to the sub tab named "Additional Parameters & Fields"→"Bank Statement Additional Columns". Press on the button named "New Bank Statement Additional Columns"
In the window that opens you have the ability to configure additional fields. The configuration allows you to add 3 different fields in one setup
Now save the configuration. You should see the newly create configuration in the sublist.
If you open the pop-up on a statement that is related to this bank account configuration then you should see the additional columns