Setting up for credit transfers
- Create a bank transaction code:
- Sign in as Application Administrator and select .
- On the Cash Payment tab, specify this information:
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Transaction Origin
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Select Payable.
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Payment Output Option
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Select Electronic File.
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Transaction Numbering
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Select Numeric Only.
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Manual Payment Reservation
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Clear this check box.
- Create an electronic transfer ID:
- Sign in as Application Administrator and select .
- Specify the identification number.
- Update the Clearing System Member ID field in Branch Of Financial Institution record.
- Create a cash management account:
- Sign in as Application Administrator and select .
- Select a cash management account and specify this information:
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Currency
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Select MXN Mexican Peso.
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Validation Type
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Select Standard Account Number.
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BIC
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Specify MXXCISO.
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Legal Entity
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Specify 2009.
- Create a cash code:
- Sign in as Application Administrator and select .
- Specify the cash management account.
- Create a transaction code.
- Create a company cash code:
- Sign in as Application Administrator and select .
- Create a cash payment format:
- Sign in as Application Administrator and select .
- In the Payment Format field, select Electronic File.
- Create a vendor with a Mexico address:
- Sign in as Application Administrator and select .
- In the Current Address section, specify the country and street address.
- On the Vendor Bank tab, complete the Vendor Bank section.
- In the Vendor Cross Border Payment Options section, select BIC in the Cross Border, BIC Number field.
- Select MXXCISO in the BIC field.
- Update vendor with cash code and payment code:
- Open the vendor record.
- Specify this information:
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Cash Code
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Specify Mexico.
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Payment Code
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Specify Mexico.
- Update cash code in payables process level:
- Sign in as Application Administrator and select .
- Select Mexico in the Cash Code field.
- Create a Payables invoice and release it:
- Sign in as Application Administrator and select .
- Perform cash requirements:
- Sign in as Application Administrator and select .
- View cash requirement results:
- Sign in as Application Administrator and select .
- Run electronic payment creation:
- Sign in as Application Administrator and select .
- Complete the required fields and click OK.
- Work units are triggered:
- Select .
- Select a completed work unit record. A credit transfer BOD is triggered to ION. The credit transfer BOD is validated against the corresponding schema. Output is generated in the designated folder.