Creating payment records
Use this procedure to add, edit, or check electronic payment records in Cash. These records are used by Payables to create payments during processing.
- Select Cash Ledger Payments.
- Click Create.
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On the Main tab, specify this information:
- Vendor
- Select the dummy vendor that you set up for Cash processing. At least one vendor must be set up for all cash payment processing. A separate vendor setup is not required for each payee.
- Override Company
- Select an override company. If this field is blank, then the posting company from the pay group is the default.
- Bank Amount
- Specify the amount to pay. Use the currency of the payee bank.
- Bank Currency
- Specify the currency of the payee bank. This is required if Bank Amount is not blank.
- Post Date
- Select the date that the transaction will be posted. This date is the payment due date when scheduling payments.
- Approval Cost Center
- Optionally, specify a user-defined value for process flow approvals.
- Approval Category
- Optionally, specify a user-defined value for process flow approvals.
- Reissue Original Reference
- Specify the reference number of the transaction that you are replacing with this record.
- Reissue Original Identifier
- This is the transaction identifier for the payment that was created earlier. This record replaces and voids the earlier record.
- On the Payee Information tab, specify the payee name and postal address.
- On the Defaults tab, specify the source code.
- On the Bank Information tab, specify the information of the payee bank. This is required for electronic payments.
- On the Transaction Data tab, specify the transaction data.
- Click Save.