Troubleshooting: Automatic Bank Statement Reconciliation Processes
This topic provides strategies for diagnosing and resolving these automatic bank
reconciliation issues:
First-notice item reconciliation doesn't run after automatic bank
reconciliation.
Automatic bank reconciliation completes using matching rules but not the first-notice
rules. Workday displays first-notice items as unreconciled on these tasks and reports:
- Manage Bank Reconciliation Exceptions
- Manual Bank Reconciliation
- View Bank Statement
- View Bank Statement Line
You've more than 50 first-notice rules in the first-notice item rule
set.
For a single bank account, you can remove any rules in the first-notice item rule set
that aren't applicable for the bank account.
- Access theView Bank Reconciliation and First Notice Item Rule Setsreport.Select the first-notice item rule set to edit.Security:Set Up: Bank Reconciliationdomain in the Banking and Settlement functional area.
- Delete any rules that you don't need from the complete list of rules. You can also reorder the remaining rules in the rule set as needed. Workday reconciles items using the rules in specified order.
- Run first-notice reconciliation either automatically or manually.
For multiple bank accounts, you can create additional first-notice item rule sets to
customize for each bank account. This enables you to reassign the same rules to different
rule sets, or add new rules.
- Run first-notice reconciliation either automatically or manually.
Matching rule doesn’t match check numbers with leading zeros on the bank statement
lines.
Workday only matches bank statement line fields with leading zeros to corresponding
reconcilable items with leading zeros.
Create a parsing rule set to parse the leading zeros from the check number field on your
bank statements.
You can assign the same parsing rule set to multiple bank accounts. If the criteria to
parse leading zeros varies across accounts, you can create a different parsing rule set
for each account. Example: The string of leading zeros displays in different start
positions across your bank statements. For each bank account, you create a customized rule
set that parses the string of zeros from its distinct start position.
You can use this solution when you don't need the leading zeros for reporting purposes or
to sync with third-party systems.
- When you create the parsing rule, select the bank statement line field that contains the check number as your source. To configure the target field, select either:
- A different bank statement line field. When you parse the leading zeros fromSource Field, Workday moves them toTarget Fieldwhile overriding any existing data.
- The source bank statement line field. When you parse the leading zeros fromSource Field, Workday replaces bothSource FieldandTarget Fieldvalues with the resulting parsed check number.
- Access theEdit Matching Rule Settask.Edit your existing matching rule set for each bank account to add a new matching rule.Security:Set Up: Matching Rule Setdomain in the Banking and Settlement functional area.
- Create a new matching rule to match bank statement lines based on the parsed source field. You can select this field in either theMatch Ongrid or in condition rules.
- Run parsing.You can parse either:
- Automatically when you import bank statements.Workday automatically parses the information from and to the bank statement line fields based on the parsing rule set that you assign to the bank account.
- Manually when you selectRun Parsingfrom the related actions menu of an unreconciled bank statement.
- Rerun bank reconciliation either automatically or manually.
Create a new matching rule that ignores the leading zeros on check numbers when matching
bank statement lines to reconcilable items.
You can use this solution when you need to retain the leading zeros in the reference
number field on your bank statement.
- Access theEdit Matching Rule Settask.Edit your existing matching rule set for each bank account to add a new matching rule.Security:Set Up: Matching Rule Setdomain in the Banking and Settlement functional area.
- In theMatch Ongrid, select:
- Statement Line Reference Number with Leading Zeros Strippedfrom theBank Statement Lineprompt.
- Transaction Reference with Leading Zeros Strippedfrom theReconcilable Itemprompt.
- Run parsing.You can parse either:
- Automatically when you import bank statements.Workday automatically parses the information from and to the bank statement line fields based on the parsing rule set that you assign to the bank account.
- Manually when you selectRun Parsingfrom the related actions menu of an unreconciled bank statement.Security:Process: Bank Statement Parsingdomain in the Banking and Settlement functional area.
- Rerun bank reconciliation either automatically or manually.