Updating transaction status

Use this procedure to update the status of transactions in the payment file and open item file. This task is performed on a monthly basis, but not necessarily at month end.
  1. Select Receivables > Processing > Close > Period End > Transaction Status Update.
  2. Select Company or Company Group, but not both.
  3. In the Report Distribution section, select distribution lists and export types for these reports:
    • Transaction Status Update Report
    • Transaction Status Update Error Report
  4. Click Submit.