Yes.
As of this week, we are allowing a Journal to bypass the OUTSTANDING accounts (you would use the same GL account for each of (1) the GL Account; (2) the Outstanding Reciepts; and (3) the Outstanding Payments account.)
Transactions will then bypass the IN PAYMENT status and these Journals won't have to be reconciled. This configuration supports organizations that have no need to use statements and/or for Journals that represent CASH or other immediate payment methods.