Skip to content
Sentinel 1.5 | Preview

Improved performance for bridge transaction selection during the bank clearance process

2026 Release Wave 1 · Cash and Bank Management

Score 50/100 · MediumImpact MediumSwiss relevance NoneUpcoming

dX365³ Analysis

Our interpretation — not a Microsoft statement

This feature has been detected on the release plan but not analysed yet. The analysis is generated with the next radar run.

Microsoft information

Quoted from the release plan

This feature provides the following benefits: - Reduces the time required to load and review bridge transactions. - Improves performance in high-volume payment environments. - Enables faster bank clearance and reconciliation processing. - Enhances user productivity by loading only relevant transactions. - Provides a more scalable solution for organizations with large transaction volumes.

This enhancement improves the efficiency of selecting and loading bridge transactions during the bank clearance process by introducing optimized filtering and transaction retrieval logic. Instead of loading all available bridge transactions, users can define criteria such as bank account, vendor/customer account, payment reference, check number, and date range before transactions are retrieved. This approach significantly reduces data loading time and improves system responsiveness, especially in high-volume environments with large numbers of bridge transactions. The enhancement helps finance users identify relevant transactions faster, accelerates bank clearance activities, and provides a more scalable experience for organizations processing large payment volumes.

Change history

Differences detected between scans

  • added12 Aug 2026

    Microsoft added this feature to the Dynamics 365 Finance release plan.

    Upcoming
Back to Release Radar³