Visma Net
Process unmatched account statements
After you have run the automatic matching, or when you select option Unmatched in the drop-down list on the table toolbar, the unmatched transactions are displayed in the Process bank transactions (CA306000) window. The transactions that are not automatically matched will have to be matched manually.
Follow the steps below to create a new document or transaction for a bank transaction with no match.
- Go to the Process bank transactions (CA306000) window.
- On the Create payment tab, select the Create check box.
- In the Module field, select the workspace you want to edit.
- If you have selected Customer ledger or Supplier ledger, select a Business account.
The rest of the information will be filled in automatically. - If you have selected Cash management, select an entry type ID.
The rest of the information will be filled in automatically.If no entry type is displayed, you have to create one: Create an entry type for disbursements or receipts.
- If you have selected Customer ledger or Supplier ledger, select a Business account.
- Optional:Split the transaction amount into multiple documents by adding lines in the table, and by specifying different offset accounts and subaccounts for each line.
- Optional:Create supplier ledger or customer ledger documents to match the bank transactions to the documents available in the system.
- When you have specified the information about the new payment and selected the documents to apply, click .
- Click Process matched lines in the toolbar.
The payment or cash transactions will now be created and applied.
Work process overview
The basic account statements process for AutoPay
Related tasks
Process matched account statements
Process unmatched bank transactions
Write off amounts during a bank transaction processing
Related windows
Process bank transactions (CA306000)
Import bank transactions (CA306500)
Related concepts