import { Callout } from "zudoku/ui/Callout";

# Role Center Actions for Banking

## Business Value

The pages of 365 business Banking used to be reachable only through the search (`Alt+Q`). For users who work with payment reconciliation and payment processing every day this meant a detour on every switch – and new users had no way of seeing which pages were available at all.

With the **role center actions for Banking**, the Banking pages are anchored directly in the role center: in the action bar for daily access, and in the navigation menu as a complete overview including setup.

## Feature Description

The actions are added to the **Accountant** and **Business Manager** role centers – identically in both.

### Action bar

The action bar gains a **Banking** group with the tasks needed daily:

- **Pmt. Reconciliation Journals**
- **Payment Journals**
- **Cash Receipt Journals**
- **SEPA Payment Import**

### Navigation menu

In the navigation menu a **Banking** group appears before **Cash Management**, containing:

- **Bank Accounts**
- **Pmt. Reconciliation Journals**
- **Payment Journals**
- **Cash Receipt Journals**
- **SEPA Payment Import**

It also contains the **Setup** subgroup:

- **Banking User Setup**
- **General Ledger Setup**
- **Payment Application Settings**
- **Payment Application Rules**
- **Payment Suggestion Templates**

<Callout type="tip" title="Good to know">
The **Payment Journals** and **Cash Receipt Journals** actions open the journal batches of the respective journal type, not a single journal. You therefore land directly in the selection of the batches you have set up.
</Callout>

<Callout type="note" title="Permissions">
The **SEPA Payment Import** action is only shown when the user has the required permission for the payment import.
</Callout>

For more information, see [Role Center Actions](../../role-center-actions.mdx).
