Maintaining released bills of exchange
Use this procedure to
maintain released bills of exchange before you present them for remittance.
- Sign in as Receivables Specialist or Receivables Manager.
-
For Receivables Specialist, select Bill Of Exchange Processing > Customer Bill Of Exchange
Maintenance.
For Receivables Manager, select Processing > Bill Of Exchange Processing > Customer Bill Of Exchange Maintenance.
- Open a bills of exchange record.
-
Specify this information:
- Customer Bank
- Select the bank location that the customer is paying the bill of exchange.
- Customer Account
- Specify the bank account number within the bank location in which the customer is paying the bill of exchange.
- BOE Date
- Select the date that the bill of exchange is created.
- Due Date
- Select the date on which the bill of exchange is scheduled for cashing.
- Message Code
- Select a bank transaction code.
- Payers Reference
- Specify the payer's reference that contains that bank reference information for manually creating bills of exchange.
- Optionally, click Comments to create a comment.
- Click Save.