I am wondering if somebody has already made some experience with the advanced bank reconciliation feature that is available in AX2012. I am very much interested in this functionality. Yet, the only Information that I found is the one on TechNet. Unfortunately, this Information is not comprehensive and detailed enough for an implementation. For that reason, I Need some additional Information/documents/Whitepapers/etc. and would be happy if somebody can share his knowledge and experience.
Many thanks in advance.