This activity is used to load the bank statement into the system, to match the transactions in the bank
statement with the unmatched transactions in the cashbook using the External File Assistant. You can also
automatically cash and match open checks while performing this activity, by selecting True for
Cash/Match Open Issued Checks and/or Cash/Match Open Customer Checks from the Value list. Open
issued checks include, both supplier and customer repayment checks.
Note: The voucher created for customer repayment checks will use the voucher type specified for customer
checks and the voucher created for supplier checks will use the voucher type specified for supplier checks.
The bank statement file should match the file template that is specified in the External File Assistant.