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Bank Reconciliation & Statement Intelligence for Business Central — A build-to-order AL extension that imports bank statement — 1/1معاينة توضيحية

A build-to-order AL extension that imports bank statements (CAMT.053,

MT940, CSV, OFX) into Business Central and auto-matches open ledger entries with a configurable rules engine and AI-assisted fuzzy matching — built, installed per-tenant, and supported by ECOSIRE.

ما هو Bank Reconciliation & Statement Intelligence for Business Central؟

A build-to-order AL extension that imports bank statements (CAMT.053, MT940, CSV, OFX) into Business Central and auto-matches open ledger entries with a configurable rules engine and AI-assisted fuzzy matching — built, installed per-tenant, and supported by ECOSIRE. Built to order by ECOSIRE for Dynamics 365 BC (build-to-order) — indicative price from $999.00 USD; request a quote for a scoped proposal.

الميزات الرئيسية

Bank statement import for CAMT.053 (ISO 20022), MT940, OFX, and fully configurable CSV column mappings, with per-bank profiles
Configurable, table-driven reconciliation rules engine matching on amount, date tolerance, reference, counterparty IBAN, and description tokens
AI-assisted fuzzy matching that resolves truncated or inconsistent bank narratives to the correct open ledger entry
Auto-matching of open Bank Account, Customer, and Vendor ledger entries within the Payment Reconciliation Journal
Auto-creation of journal lines for recurring bank fees, charges, and interest, posted to nominated G/L accounts
Built natively as AL table and page extensions on BC's Bank Account Reconciliation pages — no replacement of standard posting routines
Event subscribers on the reconciliation codeunits so matching logic stays upgrade-safe across BC monthly releases
Job Queue entry for scheduled, unattended statement import and pre-matching overnight
Match confidence scoring with a clear review queue so accountants approve low-confidence suggestions before posting
Dedicated permission set scoped to reconciliation roles, respecting BC user groups and entitlements
Optional REST/OData v4 endpoints to push statements in or pull reconciliation status into Power BI or Dataverse
Per-tenant deployment to your cloud SaaS or on-prem environment, with sandbox UAT before production promotion
Audit trail linking each matched statement line to its source ledger entry and the rule that matched it
Multi-bank-account and multi-currency aware, honoring BC currency exchange and realized-gain/loss accounts

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لا إعداد يدوي — تطبيق جاهز يبنيه ويثبّته ويدعمه ECOSIRE.

  1. 1

    تطلب

    ابدأ بسعر بناء لمرة واحدة. نحدّد النطاق معك عند الانطلاق.

  2. 2

    نبني ونثبّت

    يقوم ECOSIRE ببنائه وتهيئته وتثبيته على Dynamics 365 Business Central الخاص بك.

  3. 3

    الإطلاق + الدعم

    تنطلق خلال أسبوع عمل واحد تقريبًا، مع أسبوعين من الدعم بعد التشغيل. نصلح عيوب الكود الذي نسلّمه مجانًا.

عن هذا المنتج

Bank Reconciliation & Statement Intelligence is a custom Microsoft Dynamics 365 Business Central extension that takes the manual grind out of monthly bank reconciliation. It is not an instant AppSource download — ECOSIRE builds it in AL to fit your chart of accounts, bank formats, and matching conventions, then installs it as a per-tenant extension directly on your Business Central environment (cloud SaaS or on-prem) and supports it afterward.

The extension layers on top of BC's native Bank Account Reconciliation and Payment Reconciliation Journal rather than replacing them. It adds a statement import pipeline supporting CAMT.053 (ISO 20022), MT940, OFX, and configurable CSV mappings, so your accountant stops re-keying lines from PDFs and online-banking exports.

At its core is a configurable reconciliation rules engine — table-driven match rules on amount, date tolerance, reference, counterparty IBAN, and description tokens — combined with AI-assisted fuzzy matching for the real-world case where bank narratives are truncated or inconsistent. Matched statement lines are applied against open Bank Account Ledger and Customer/Vendor entries; unmatched fees, charges, and interest can auto-generate journal lines posted to the G/L accounts you nominate.

Delivery uses BC-native plumbing: AL table and page extensions, event subscribers on the reconciliation codeunits, a job queue entry for scheduled imports, and a dedicated permission set. Optional hooks to the BC REST/OData v4 API and Power Platform / Dataverse let you pull statements from a connector or surface match status in Power BI.

Pricing is a one-time build fee. ECOSIRE scopes your formats and rules, develops, deploys to a sandbox for UAT, promotes to production, and provides post-launch support and BC monthly-update compatibility checks.

ما تحصل عليه

  • A custom AL per-tenant extension (.app) built to your bank formats, chart of accounts, and matching rules
  • Deployment to your Business Central sandbox for UAT, then promotion to your production environment
  • Per-bank import profiles configured for each CAMT.053 / MT940 / OFX / CSV format you supply
  • A configured reconciliation rules engine seeded with your common counterparties, fees, and tolerances
  • A scoped permission set and Job Queue entry set up for your reconciliation users and schedule
  • Source code and the AL project handed over, plus a deployment/runbook document
  • Admin and accountant walkthrough session covering import, review queue, and rule maintenance
  • Post-launch support window and a compatibility check against BC monthly platform updates

لمن هذا

Accountant / Controller

Currently spends hours each month re-keying bank lines and hunting for matches; wants imported statements and AI-assisted matching to cut reconciliation to a review-and-approve task.

Finance Manager / CFO

Needs faster, auditable month-end close with a clear trail from each statement line to its ledger entry, without abandoning native BC posting controls.

BC Implementation Partner / IT Lead

Wants a clean, upgrade-safe per-tenant extension built on event subscribers and table/page extensions that won't break on BC's monthly releases and respects existing permission sets.

كيف يقارن Bank Reconciliation & Statement Intelligence for Business Central.

المعيارECOSIREبناء مخصصمنافسDynamics 365 Business Central الأصلي
Multi-format statement import (CAMT.053, MT940, OFX, CSV)متضمنةدعم جزئيدعم جزئيدعم جزئي
Configurable rules engine for auto-matchingمتضمنةدعم جزئيدعم جزئيدعم جزئي
AI / fuzzy matching for poor bank descriptionsمتضمنةغير متضمنةدعم جزئيغير متضمنة
Auto-creation of journal lines for fees and chargesمتضمنةدعم جزئيدعم جزئيغير متضمنة
Built to your chart of accounts and bank profilesمتضمنةمتضمنةغير متضمنةغير متضمنة
Installed and supported on your tenant by the vendorمتضمنةدعم جزئيغير متضمنةغير متضمنة
Upgrade-safe via event subscribers / table extensionsمتضمنةدعم جزئيمتضمنةمتضمنة
No per-user recurring subscription feeمتضمنةمتضمنةغير متضمنةمتضمنة

الأسئلة المتداولة حول Bank Reconciliation & Statement Intelligence for Business Central

Is this a Microsoft AppSource app I can install instantly?

No. This is a build-to-order extension. ECOSIRE develops it in AL to fit your bank formats, chart of accounts, and matching rules, then installs it as a per-tenant extension on your Business Central environment. There is no instant AppSource download — every deployment is scoped, built, and validated for your tenant.

How long does delivery take?

Typical lead time is about one working week from a confirmed scope, depending on how many bank formats and how complex your matching rules are. The flow is: discovery and format collection, AL development, sandbox deployment for your UAT, then promotion to production. We confirm a firm timeline after the scoping call.

What ongoing support and updates do I get after go-live?

The build includes a post-launch support window for fixes and questions, plus a compatibility check against Business Central's monthly platform updates so the extension keeps working across releases. Because it is built on event subscribers and table/page extensions rather than overriding standard objects, upgrades are low-risk. Longer-term support and enhancement retainers are available.

Which bank statement formats are supported?

Out of the box the import pipeline handles CAMT.053 (ISO 20022 XML), MT940, OFX, and configurable CSV. For CSV and bank-specific dialects we build a per-bank profile mapping your columns and date/amount conventions. If your bank exports a format not listed, share a sample during scoping and we will assess adding it.

Will it interfere with our existing Business Central posting and permissions?

No. It builds on BC's native Bank Account Reconciliation and Payment Reconciliation Journal and uses event subscribers, so standard posting routines are untouched. Access is governed by a dedicated permission set that fits within your existing user groups and entitlements, and every matched line keeps an audit trail to its source ledger entry.

طلب عرض سعر

Bank Reconciliation & Statement Intelligence for Business Central

A build-to-order AL extension that imports bank statements (CAMT.053, MT940, CSV, OFX) into Business Central and auto-matches open ledger entries with a configurable rules engine and AI-assisted fuzzy matching — built, installed per-tenant, and supported by ECOSIRE.

  • Bank statement import for CAMT.053 (ISO 20022), MT940, OFX, and fully configurable CSV column mappings, with per-bank profiles
  • Configurable, table-driven reconciliation rules engine matching on amount, date tolerance, reference, counterparty IBAN, and description tokens
  • AI-assisted fuzzy matching that resolves truncated or inconsistent bank narratives to the correct open ledger entry
  • Auto-matching of open Bank Account, Customer, and Vendor ledger entries within the Payment Reconciliation Journal

طلب عرض سعر

أخبرنا باحتياجاتك من Bank Reconciliation & Statement Intelligence for Business Central وسنرسل لك الأسعار وخيارات الترخيص وعرضًا مخصصًا، عادةً خلال يوم عمل واحد.

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