Consider the following scenarios in Cash Manager in Microsoft Dynamics SL:
Scenario 1:
You enter a value in the Cash Account box and in the Cash Subaccount box on the Bank Reconciliation (20.210.00) screen. When you click or tab out of the Cash Subaccount box, the process takes longer than expected to populate the Detail grid.
Scenario 2:
You enter a value in the Cash Account box and in the Cash Subaccount box on the Bank Reconciliation (20.210.00) screen. When you click the Reconcile Checks button, the process takes longer than expected to open the Reconcile Checks sub-screen.
Scenario 1:
You enter a value in the Cash Account box and in the Cash Subaccount box on the Bank Reconciliation (20.210.00) screen. When you click or tab out of the Cash Subaccount box, the process takes longer than expected to populate the Detail grid.
Scenario 2:
You enter a value in the Cash Account box and in the Cash Subaccount box on the Bank Reconciliation (20.210.00) screen. When you click the Reconcile Checks button, the process takes longer than expected to open the Reconcile Checks sub-screen.