Extracting EFT payments
Use this procedure to create
a flat file for EFT adjustments.
- Select EFT Extract.
- Select Finance Enterprise Group, and select Customer Group or Company, but not both.
-
Specify this information:
- Processing Date
- Specify the processing date for the EFT extract. If this field is blank, then the system date is the default.
- Override Date
- You can override the processing days that are defined on the EFT calendar. Specify the beginning and ending dates.
- Payment Code
- Select the method of payment for the invoice.
- Payment Terms
- Select the payment terms code that determines the default due date.
- Update
- Select Yes to update or No to run in report.
- Data File Name
- Specify a data file name for an item.
-
In the Report Distribution section, select distribution lists
and export types for these reports:
- EFT Extract Report
- EFT Extract Adjustment
- Click Submit.