In the Cash Auto Match Trigger panel, you can match cash automatically based on actual cash settlements when you use cash segregation. Eagle's Accounting solution can automatically match actual cash settlement records, called bank settlements, sent to the Eagle system from a bank, custodian, or third party to receivables and payables created in Eagle's Accounting solution.
Automated catch matching is a global event that applies to all accounting entities. You can schedule the event associated with this panel to run on a regular basis.
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