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Improved performance for selecting bridge transactions 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 improves the performance of bridge transaction selection during the bank clearance process, so large transaction volumes load and process more quickly.

During the bank clearance process, Dynamics 365 Finance retrieves and presents the bridge transactions that are available to be cleared. For organizations that handle high transaction volumes, selecting these bridge transactions could be slow, which delays the clearance experience and adds time to period-end reconciliation. This feature optimizes how bridge transactions are queried and selected during bank clearance. The list loads and responds more quickly even when a large number of transactions are involved. As a result, finance teams can complete bank clearance faster, reduce delays at period close, and maintain a responsive experience as transaction volumes grow.

Change history

Differences detected between scans

  • added12 Aug 2026

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

    Upcoming
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