Reviewing bank risks
- Sign in as Receivables Specialist or Receivables Manager.
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For Receivables Specialist, select Create Bill Of Exchange Processes > Risk Review.
For Receivables Manager, select Processing > Create Bill Of Exchange Processes > Risk Review.
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Specify this information:
- Company
- Select a company number.
- Customer Group
- Select a customer group. If it is specified, then all companies that are assigned to the customer group are included. If you specify a value in the Company field, then this field is blank.
- As of Date
- Select the due date for the bills of exchange. If this field is blank, then the system date is used.
- Update
- Select whether to update bills of exchange and associated open items. If this field is blank, then the process creates a report.
- In the Report Distribution section, select the Risk Review Report and the Report Export Type.
- Click OK.