Setting up for credit transfers
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Create a Bank Transaction Code.
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Sign in as Application Administrator and select .
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On the Cash Payment tab, specify this information:
- Transaction Origin
- Select Payable.
- Payment Output Option
- Select Electronic
File.
- Transaction Numbering
- Select Numeric Only.
- Manual Payment
Reservation
- Clear this check box.
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Create an Electronic transfer ID.
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Sign in as Application Administrator and select .
-
Specify the Identification Number.
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Update the Clearing
System Member ID field in Branch Of Financial Institution
record.
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Create a Cash Management Account.
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Sign in as Application Administrator and select .
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Select a Cash Management Account and specify this information:
- Currency
- Select MXN Mexican Peso.
- Validation Type
- Select Standard Account Number.
- BIC
- Specify MXXCISO.
- Legal Entity
- Specify 2009.
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Create a cash code.
-
Sign in as Application Administrator and select
.
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Specify the Cash Management Account.
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Create a Transaction code.
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Create a Company Cash Code.
-
Sign in as Application Administrator and select
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Create a cash payment format.
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Sign in as Application Administrator and select
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In the Payment Format field, select Electronic File.
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Create a vendor with a Mexico address:
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Sign in as Application Administrator and select
.
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In the Current Address section, specify the country and
street address.
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On the Vendor
Bank tab, complete the Vendor Bank section.
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In the Vendor Cross Border Payment Options section, select
BIC in the Cross Border, BIC
Number field.
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Select MXXCISO in
the BIC
field.
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Update vendor with cash code and payment code.
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Open the vendor record.
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Specify this information:
- Cash Code
- Specify Mexico.
- Payment Code
- Specify Mexico.
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Update cash code in payables process level.
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Sign in as Application Administrator and select
.
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Select Mexico in
the Cash Code
field.
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Create a Payables invoice and release it.
-
Sign in as Application Administrator and select .
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Perform cash requirements.
-
Sign in as Application Administrator and select
.
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View Cash Requirement Results.
-
Sign in as Application Administrator and select
.
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Run Electronic Payment Creation.
-
Sign in as Application Administrator and select
.
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Complete the required fields and click OK.
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Work units is triggered.
-
Select .
-
Select a completed work unit record. A credit transfer BOD
is triggered to ION. The credit transfer BOD is validated against the
corresponding schema. Output is generated in the designated folder.