Reviewing open items for extraction
- Sign in as Receivables Specialist, Receivables Manager, or Receivables Administrator.
- Select Run Receivables Processes > Electronic Funds Processing > EFT Extract.
-
Select No in the
Update field. The
process selects open items according to these actions:
- The due date is within the parameter derived date range.
- The open item has been added by EFT Adjustments.
- The open item is added through an elapsed prior EFT cycle postponement.
- The open item has been final noted.