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Cash Management- Automatic External Transactions

edited Jan 28, 2025 2:01PM in Payables, Payments & Cash Management 1 comment

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Cash Management- Automatic External Transactions

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Dear experts

In Cash management , we need to create bank statement transaction creation rule for automatic external transactions from statement for the code FCHG. One SAR bank is using this code for fee while one USD bank is using the same code for VAT. How we can achieve this and what will be its impact on importing MT940 for both banks ?

Thanks,

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