Closing payment cycles by cash code group
- Select Payables > Payments.
- In the Current Cash Requirements Results panel, click + to start cash requirements.
- In the Cash Code Options section, specify the Cash Code Group field.
- Click Save.
- On the Selected Invoice Payments and Scheduled Payments tabs, verify the different cash code and bank transaction code combinations.
- Click Complete Payment Cycle.
- Specify this information:
- Pay Group, Cash Code, Bank Transaction Code
- Select the check box to build an output file name with the selected value.
- Additional Payment Output File Name Text
- Specify any additional text. Full name is limited to 50 characters.
- Override Payment Creation Defaults
- Select the check box to override payment creation defaults.
- Include Cash Payment Register
- Select the check box to include cash payment register. This process is run before payment close.
- Include Payment Close
- Select this check box to run payment close. If this field is clear, the process must be run separately.
- Include Positive Pay File Creation
- Select the check box to include positive pay file creation.
- Click Submit.