Manages the data exchange setup records that are created using the Data Exchange Framework to enable export or import of bank files. The records are shown in the Bank Export/Import Setup window.
When a data exchange setup is created, users can select the related code from the Bank Statement Import Format or Payment Export Format fields in the Bank Account Card window to enable import or export of a specific bank file. For more information, see How to: Import Bank Statements and How to: Export Payments to a Bank File.
List of Fields in the Table
The following table lists the fields in this table.
| Processing XMLport ID Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Processing Codeunit ID Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Check Export Codeunit Name Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Preserve Non-Latin Characters Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Code Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Name Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Posting Exch. Def. Code Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Check Export Codeunit Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Direction Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Processing Codeunit Name Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Posting Exch. Def. Name Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Processing XMLport Name Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Processing XMLport ID Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Processing Codeunit ID Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Check Export Codeunit Name Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Preserve Non-Latin Characters Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Code Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Name Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Data Exch. Def. Code Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Check Export Codeunit Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Direction Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Processing Codeunit Name Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Data Exch. Def. Name Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
| Processing XMLport Name Field, Bank Export/Import Setup Table |
Using Microsoft Dynamics NAV |
See Also
Reference
Bank Export/Import Setup
Other Resources
Data Exchange Setup
SEPA CAMT Field Mapping in Microsoft Dynamics NAV
Bank Statement Import Format
Payment Export Format
How to: Import Bank Statements
How to: Export Payments to a Bank File