Credit transfers

Vendors can be paid from accounts payable by transmitting credit transfer messages to the bank in a format that the bank can interpret. The bank can then take the appropriate action.

Chile specifics

The volume of credit transfers has grown substantially for both high-value transactions and for bulk, non-urgent transfers for payroll, supplier and other third-party payments.

For payments to vendors, the user sends data electronically as a flat file to the bank.

How Infor meets the requirement

The FSM_ION_SyncCreditTransfer_Out BOD is used to generate the vendor payment file to LSP. A message is generated and sent to the bank to pay the vendor with the given instructions.

The successful triggering of the FSM_ION_SyncCreditTransfer_Out BOD to ION is validated against the corresponding Schema. The output is saved in the designated folder.

These are the supported formats in FSM–Localization integration:

  • CL Santander
  • CL Banco De Chile
  • XC ISO20022 pain 001

Credit Transfers GEMS must be imported into ION and an SFTP connection must be established in the document flow. This process is used to convert the credit transfer BODs into corresponding proprietary bank messages that are readable by the banks.

See Processing the CreditTransfer BOD.