Creating a payment clearing file
Use this procedure to create a payment file to pay invoices that are scheduled by the most recent run of Cash Requirements. Payment files are created in the Automated Clearing House (ACH) or Bankers Automated Clearing System (BACS) formats.
- Select Payment Clearing File Creation.
- Select Vendor Group, Pay Group, and Payment Code.
- Specify this information:
- Process Group
- To balance the load and to process payments concurrently, select a process group. You can run this process multiple times. Provide a different file name to avoid overwriting the first file.
- Cash Code
- Specify a cash code to create a payment tape for a bank account or specify a Cash Code Group to create the tape.
- Suppress No Payment Error
- Select this check box to suppress the no payment error.
- File Name
- Specify the file name.
-
In the Select Options section, specify this information:
- Payment Date
- Specify the payment date.
- Effective Date
- Specify the effective date.
- Starting Number
- Specify the starting number.
- Print Remittance
- Select whether to use print remittance.
- Create Prenotifications
- Select whether to create prenotifications.
- BACS Serial Number
- Specify the BACS serial number.
- Document Currency
- Select which currency to use for the document.
- Print Comments
- Select Yes to print comments.
- Use Cash Requirements Sort Options
- Select Yes to use cash requirements sort options.
- Electronic Transfer Bank Type
- Select the electronic transfer bank type.
-
In the Rerun Options section, specify this information:
- Recreate File
- Use this field to recreate a payment tape from a previous run. Select Yes and specify the serial number that is assigned to the original tape.
- Serial Number
- If you selected Yes in Recreate File, then specify the serial number that is assigned to the original tape. If this field is select, then the Starting Number field must be blank.
-
In the Output Options section, specify this information:
- Create Labels
- Select whether to include headers and footers in the ACH tape
output file.
The NACHA format has optional lines that are referred to as batch labels. Labels are required by some banks. Use this field to have the option to include them or not include them.
- Format
- Select the format in which to produce the ACH tape output file.
The options are PPD,
PPD+, CCD,
CCD+, IA.
The default is PPD.
- Balanced File
- Select whether to create a balanced file. If you select
No, then the record type
6 with a transaction code of 27 is suppressed.
Select Yes to include a balancing line that is the sum of all the amounts that are being paid to the vendor's bank. It indicates a bank debit to your account. Some banks require this line.
- Healthcare
- Select Yes if you are a
healthcare organization. If you select Yes, then the field #7 on the
CCD batch header record default is HCCLAIMPMT per the standards. A comment attachment
is included in the file layout for the addendum when this file is
run with the format types of CCD with addendum selected or PPD with
addendum selected. The Print
Remittance field must be Yes if CCD+ or PPD+ is selected in Format.
This is a regulatory field, required by the Patient Protection and Affordable Care Act.
- Immediate Origin Name
- You can select which values are passed into the immediate origin fields in the
Type 1 record of the output file using these options:
- BankSelect this option to indicate these values in the output file:
- Immediate Origin, position 14-23, is set to the Sending Financial Institution routing number.
- Immediate Origin Name, position 64-86, is set to the sending financial institution.
- Pay GroupSelect this option to indicate these values in the output file:
- Immediate Origin, position 14-23, is set to the Electronic Transfer ID. This is assigned to the Pay Group and Bank Transaction Code combination.
- Immediate Origin Name, position 64-86, is set to the Pay Group Name.
- Bank
-
In the Report Distribution section, select a distribution list and export
type for these reports:
- Payment Clearing File Creation Report
- Payment Clearing File Check
- Payment Clearing File Iat Error
- Payment Clearing File Remit
- Payment Clearing Error Report
- Click Submit to process this action now or click Schedule to schedule the process to run later.