Microsoft Dynamics 365 Blog

Advanced bank reconciliation setup in AX 2012 R2 

3 min read

 We’ve had several questions on how to setup Advanced Bank Reconciliation in AX 2012 R2, so here’s the steps to get this working in the Contoso Demo data: Ctrl+D to open the AOT. Expand Resources and locate “BAI2CSV_to_BAI2XML_xslt”, and then right-click and click “Open”. On the form that opens, change “Resource type” to “XML document”….Read more

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