Posting A/P Direct Debit Payments
Automatic direct debit A/P payments are generated when a new BankStatement BOD is received into SyteLine from ION.
Note: This topic does not apply if certain
				country packs (for example, Sweden) are enabled. See the appropriate SyteLine country guide for more
				information.
	 - When an A/P Payment record is created and not yet posted, the button on the Bank Statements form is enabled for the record.
- Select the record and click to open the A/P Payments form and review the payment information. The Payment Type should be set to Direct Debit.
- Save any changes.
- Create a voucher against the payment and handle it as you would handle any other A/P payment.
- In the A/P Wire Posting form, specify the Vendor range and a Pay Type of Direct Debit.
- Follow the steps in Posting A/P Wire Transactions.
After the payment is posted, the appropriate journals are updated.