Sage 200 UKI Ideas Portal

E-Reconciliation on SEPA Plugin

On the old Non-SEPA E-Banking Plugins; in a Cash Book account you could set the plugin to either Payments Only / Reconciliation Only or Both Payments and Reconciliation. The New SEPA E-Banking Plugins only contain the option for “Payments Only” Would it be possible to include E- Reconciliation Option in the SEPA compatible Plugins? If a customer uses E-Reconciliation and wants to use SEPA payments; They have to install both plugins and switch between them in Cash Book each time they want to either process a E-Payment run or E-Reconciliation

  • Paul Daly
  • Jul 16 2015
  • In Development
Fixed in version 2024 R2
Implemented in version (specific) 2024 R2
  • Jo Kirkup commented
    8 Apr 04:52pm

    We’re currently working on a potential new feature that will allow the ability to download and import bank transactions for the purposes of bank reconciliation. The data, once imported, would appear within the bank feeds service, allowing you to use a set of custom rules. This would be for a number of reasons:

    • Bank feeds does not currently have a connection to your bank or your bank account type

    • Bank feeds isn’t syncing to suit your business requirements i.e. more frequent transaction updates required

    We’re looking for customers who would be able to work with us in reviewing this and providing feedback & insight. We don’t anticipate that it will take more than 30 mins of your time and you would need to be available this month (April 2024).

    If you are interested in helping please email ukisage200productmanagement@sage.com