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ECM: How does Bank Statement Import determine the Transaction Codes that are loaded into RECON_TRANS_CODE field in PS_BANK_STMT_TBL? (Doc ID 1339806.1)

Last updated on JULY 21, 2020

Applies to:

PeopleSoft Enterprise FIN Cash Management - Version 8.8 SP1 to 9.1 [Release 8.8 to 9]
Information in this document applies to any platform.

Goal

How does Bank Statement Import process determine the Transaction Codes that are loaded into RECON_TRANS_CODE field in PS_BANK_STMT_TBL?

Solution

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In this Document
Goal
Solution


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