The Import log in AMC Banking 365 BC provides a detailed overview of the import activity between AMC Banking and Microsoft Dynamics Business Central. This import log allows you to track and monitor the imported transactions, ensuring that the data is accurately transferred between the two systems.
Import dateDate of the import.
Import timeTime of the import.
XTL JournalXtendLink Journal Number — This refers to the journal number for the imported bank feed,as specified in the AMC Banking Web Service.
Import typeImport type of the imported bank feed.
Bank Statement
Posting Basis (Out-/incomming payment information)
Statement dateThe date of the bank statement, applicable if the import type is “Bank Statement”.
Bank statement no.Bank statement no. the bank statement, applicable if the import type is "Bank statement".
Bank Account CodeBank Account Code (BC) of the imported bank feed.
Currency codeCurrency code of the imported bank feed.
StatusStatus for the imported bank feed.
Succes
Failed
Warning
Response Info availableSpecifies if Response details exist. if so, click on Yes to open the detailed view.
Log Info AvailableSpecifies if detailed import log details exist. Only available if status not equals Success.If so, Click Yes to open the detailed view.
DeleteDelete the selected rows.Be aware: that deleting records in the import log may affect the bank feed import or synchronization process, as the import log keeps track of which bank feeds have already been imported or processed and thereby ensures that bank feeds are not imported again.
Import Bank feedsImport Bank feeds from the AMC Banking webservice containing the related bank transactions.This option allows you to import bank feeds or files directly into the system, making it convenient for reconciling your bank transactions with your accounting records.
AMC Banking 365 BC - Import bank feed as Host2HostAMC Banking 365 BC - Import bank feed - FilebasedAMC Banking 365 BC - Import bank feed - Job queueImportImport one/more specific XTL Journal again from the webservice.If you select an existing XTL Journal that is already listed in the import log, and this journal is linked to other XTL Journals, you will be prompted to choose whether you want to import all related XTL Journals as well.
ReprocessReprocess this bank feed again from the saved response data in the importlog.If you want to reprocess an XTL Journal that is linked to other XTL Journals, you will be prompted to choose whether you want to import all related XTL Journals as well.
SynchronizationRun a synchronization now or set up automatic synchronization of bank feeds in jobqueue.The synchronization process ensures that bank feeds received by the AMC Banking web service are synchronized with your Microsoft Business Central. This option is only available for banks that use Host2Host direct communication. (Enterprise Solution)
AMC Banking 365 BC - SynchronizationAction > Delete EntriesDeletes entries based on the selected filter, such as import date or other filter conditions.Be aware: that deleting records in the import log may affect the bank feed import or synchronization process, as the import log keeps track of which bank feeds have already been imported or processed and thereby ensures that bank feeds are not imported again.