Bank integration for Microsoft Dynamics 365 Finance

Automate banking in Dynamics 365 Finance

AMC Banking Plus for Dynamics 365 Finance helps finance teams automate payments, bank statements and reconciliation directly inside the ERP.

Built for organizations with complex banking needs, the solution supports 600+ pre-mapped bank formats and helps standardize banking workflows across banks, countries and legal entities.

Use AMC Banking to reduce manual payment handling, improve matching accuracy and strengthen governance with approval workflows and role-based security.

Vendor Payments

Reduce manual payment handling with intelligent payment proposals and automatic payment type selection based on available payment data.

Automated bank reconciliation

Automatically match structured and unstructured bank transactions using configurable matching logic, while keeping exceptions available for review.

Fraud prevention

Strengthen governance with approval workflows, role separation and controls around vendor bank account changes and sensitive payment processes.

Want to start using AMC Banking Plus for D365FO?

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Service Plan 1

ServicePlan 1 covers the continuous updates, maintenance and necessary controlling of the Shared
XTendLink XTendLink is a Cloud-based Webservice which acts as the Bank Data Conversion Service – It’s where we store bank formats, validations, payment types and Security roles.
service. AMC will updates the service regularly with security updates, bug fixes, release new banks and new functionalities. The bank maintenance is “community-based” so a fix or new release will be available for all, once ordered or reported by one. Included in the Service Plan is 1 free user on the Service Desk who can get qualified support from AMC Technical team.

Top features

Connect Dynamics 365 Finance to 600+ bank formats

Instead of building and maintaining separate bank integrations, AMC Banking uses XTendLink to handle bank-specific formats, validations and payment types through one centralized integration layer.

Need more features? Try AMC Banking Enterprise

AMC Banking Enterprise comes with more features
Dedicated XTendLink Webservice

IP-restricted cloud-based or OnPremise XTendLink service only handling your company

Direct communication with 70+ banks

SFTP / Webservice connections – send payment straight to the bank and batch import your bank files

Unlimited XTendLink users

Add unlimited amount of approvers – and add role-seperation and limit user rights

Unlimited journal sizes

No restrictions on size of files or journals with a private dedicated Webservice

FAQ

What does AMC Banking 365 Finance do?

AMC Banking 365 Finance helps finance teams automate payments, bank statements, cash application and reconciliation directly within Microsoft Dynamics 365 Finance.

Can bank reconciliation be automated in Dynamics 365 Finance?

Yes. AMC Banking can import and process bank statements directly in Dynamics 365 Finance, helping reduce manual reconciliation work.

How does automatic matching work in AMC Banking?

AMC Banking uses configurable matching rules to automatically match structured and unstructured customer payments. Exceptions can still be reviewed when required.

Can AMC Banking automate vendor payments?

Yes. AMC Banking supports vendor payment automation with payment proposals and automatic determination of payment instructions based on available payment data.

How many banks does AMC Banking support?

AMC Banking supports more than 600 banks worldwide. Bank-specific formats, validations and payment requirements are handled within a standardized solution, although available formats, payment types and connectivity options depend on the bank, country and customer setup.

Can AMC Banking support multiple companies and countries?

Yes. The solution is designed to provide a standardized banking workflow across companies, countries and banking relationships, and can be scaled by adding banks, accounts, countries and companies as the organization grows.

What security controls are available in AMC Banking?

AMC Banking supports controlled payment processes through approval workflows, segregation of duties, validation and security roles. The exact setup depends on the selected solution and bank requirements.

Need technical support?