Importing A/R Payment and Distribution Data from Bank Files
You can import and process electronic customer payments from a bank or electronic lock box and apply them to A/R invoices. Different banks use different file formats. Set up a Map ID for each type of file format that will be imported.
To prepare for the import:
- The file to be imported into the A/R Payment Import Workbench must be based on Microsoft Windows format, where end-of-line is indicated by Carriage Return (CR - CHAR(13) - \r - 0x0D) and Line Feed (LF - CHAR(10) - \n - 0x0A) control characters. Using this format allows SyteLine to import each line into a separate row in the table.
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Use these forms to set up mapping of the imported values to fields:
- A/R Payment Import Workbench: Use this form to define a map ID that, together with the description, clearly defines the bank and the type of file to be used for an import. Also specify the default logical folders where you will place the files to be imported. Archived files are stored in the A/R Payment Import Archive Logical Folder that is defined on the Accounts Receivable Parameters form after import.
- A/R Payment Import Conversions
Because it is a standard format already defined in SyteLine, you only need to specify a Map ID and the Type when you set up mapping for the NACHA CCD bank file format. For other delimited or non-delimited bank file formats, you must specify additional information about the file format and how the contents are mapped to the import workbench tables.
Note: Bank reconciliation records are not imported with this utility. Only A/R payments and distributions are imported and processed using the import utility and workbench. Bank reconciliations are created when the A/R payments are posted in SyteLine.