Deprecated: (CHN) Bank reconciliation [AX 2012]

Updated: October 24, 2013

Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2

For Chinese installations, the Microsoft Dynamics AX 2009 SP1 GLSCON release provides country-specific features that import electronic bank statement files into the reconciliation journal, and that perform basic auto-matching between statements and Microsoft Dynamics AX bank records. Because the bank reconciliation features in Microsoft Dynamics AX 2012 provide this functionality, country-specific modifications are not required.



Reason for deprecation

Bank reconciliation features in AX 2012 support the import of bank statement files into the reconciliation journal, and auto-matching between the statement and bank records. Therefore, country-specific functionality is no longer required.

Replaced by another feature

Yes. The local feature has been removed and is now supported by the bank reconciliation features in AX 2012.

For more information, see 现金和银行管理.

Modules affected

Cash and bank management

Changes to installation

This change does not affect application installation.

Changes to upgrade

Upgrade scripts are provided that migrate existing reconciled statements and make the statements available as historical records.

Announcements: To see known issues and recent fixes, use Issue search in Microsoft Dynamics Lifecycle Services (LCS).