Viewing imported vendor payment transactions in ETCC
Perform these steps only if you have integrated an external payment system with Distribution SX.e to import, process, and update vendor payment information.
- Select Electronic Data Interchange > Entry > Electronic Transaction Control Center.
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Specify this search criteria to ensure that only the imported
payments are shown:
- Module
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Specify All.
- Process Type
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Specify ION-BOD.
- Transaction Type
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Specify ION Payable Tracker.
- Update Status
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Specify Complete or Error.
If you select Complete, the successfully processed payments are displayed. If you select Error, the payments with errors that have been put on electronic display (e-hold) are displayed.
- Optionally, specify a date range.
- Click Search.
- In the grid on the Documents tab, click the drill down arrow to open a record.
- Click the Data tab.
- In Section field, select Header or Line, depending on the correction that you are making.
- Select the header or line to be corrected.
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Select Action > Override Transaction.
This action creates a new record in the grid with a Data Source of Override Data.
- Select the Override Data record.
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Click Edit.
The Update page is displayed. The editable fields on the Update page vary, based on whether you selected Header or Line.
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Edit the appropriate field values to correct the error.
The Proof must be zero. The Payment Amount must equal (Invoices paid minus any discount) + Amount of any Misc Credits.
- Click Save.
- Select the Override Data record.
- Select Action > Update Transaction.
- Click Yes when Approve All Sections Where Approve Type is N? is displayed.
- Repeat steps as required until you have corrected all records.