Multiple Clearance Date for a Bank Entry

Hi there,

We have a situation where we have multiple clearance date for a single Bank Entry.
Since there are multiple bank account lines like in the following Journal Entry, we have multiple different clearance date in the bank statement. However, when bank reconciliation is done via “Bank Reconciliation Tool”, we are only able to store one Clearance Date per Journal Entry.
Is there a possibility to store clearance date per bank account line?

As of now, there is no such feature available. I also don’t feel any dying needs for multiple clearance date in a single Journal Entry.

1 Like

Noted, thanks Nabin for the reply.