diff --git a/htdocs/compta/bank/bankentries_list.php b/htdocs/compta/bank/bankentries_list.php
index 96dd247d24b..ac429de383f 100644
--- a/htdocs/compta/bank/bankentries_list.php
+++ b/htdocs/compta/bank/bankentries_list.php
@@ -808,8 +808,18 @@ if ($resql) {
// Form to reconcile
if ($user->rights->banque->consolidate && $action == 'reconcile') {
print '
';
- print ''.$langs->trans("InputReceiptNumber").': ';
- print ''; // The only default value is value we just entered
+ $texttoshow = $langs->trans("InputReceiptNumber").': ';
+ $yyyy = dol_substr($langs->transnoentitiesnoconv("Year"), 0, 1).substr($langs->transnoentitiesnoconv("Year"), 0, 1).substr($langs->transnoentitiesnoconv("Year"), 0, 1).substr($langs->transnoentitiesnoconv("Year"), 0, 1);
+ $mm = dol_substr($langs->transnoentitiesnoconv("Month"), 0, 1).substr($langs->transnoentitiesnoconv("Month"), 0, 1);
+ $dd = dol_substr($langs->transnoentitiesnoconv("Day"), 0, 1).substr($langs->transnoentitiesnoconv("Day"), 0, 1);
+ $placeholder = $yyyy.$mm;
+ $placeholder .= ' '.$langs->trans("or").' ';
+ $placeholder .= $yyyy.$mm.$dd;
+ if (!$placeholder) {
+ $texttoshow .= $langs->trans("InputReceiptNumberBis");
+ }
+ print $texttoshow;
+ print ''; // The only default value is value we just entered
print '
';
if (is_array($options) && count($options)) {
print $langs->trans("EventualyAddCategory").': ';
diff --git a/htdocs/langs/en_US/banks.lang b/htdocs/langs/en_US/banks.lang
index 2c895b48034..a5b3f64efea 100644
--- a/htdocs/langs/en_US/banks.lang
+++ b/htdocs/langs/en_US/banks.lang
@@ -147,7 +147,8 @@ ShowAllAccounts=Show for all accounts
FutureTransaction=Future transaction. Unable to reconcile.
SelectChequeTransactionAndGenerate=Select/filter the checks which are to be included in the check deposit receipt. Then, click on "Create".
SelectPaymentTransactionAndGenerate=Select/filter the documents which are to be included in the %s deposit receipt. Then, click on "Create".
-InputReceiptNumber=Choose the bank statement related with the conciliation. Use a sortable numeric value: YYYYMM or YYYYMMDD
+InputReceiptNumber=Choose the bank statement related with the conciliation. Use a sortable numeric value
+InputReceiptNumberBis=YYYYMM or YYYYMMDD
EventualyAddCategory=Eventually, specify a category in which to classify the records
ToConciliate=To reconcile?
ThenCheckLinesAndConciliate=Then, check the lines present in the bank statement and click