For SEPA credit transfers, the normal anticipated payment
procedure can be followed, assuming that the correct bank and payment method
are used.
Payment process
Payment process
Depending on the parameter settings in the CMG Parameters (tfcmg0100s000) session, only authorized users can select invoices for
payment and process a payment batch in Cash Management.
In the CMG Parameters (tfcmg0100s000) session, you can indicate whether authorized users
must approve a payment batch for processing. If you select the Payment Batch Approval and the Direct Debit Batch Approval check boxes, only
authorized users can process a payment batch. In the Payment Authorizations (tfcmg1100m000) session, you can define authorized
users.
You can use the following automatic payment processes:
The automatic payment procedure
After selection of the invoices, you can verify the results and
make adjustments. For example, you can review and change the selected invoices,
and you can assign advance payments, unallocated payments, or credit notes to
the open entries before you make the payments.
The uninterrupted payment process
After selection of the invoices, LN carries out the
payment process as an uninterrupted payment run. This enables you to run the
payment process as a batch job at night. This process does not search for
advance and unallocated payments, or credit notes. For details, refer to Automatic or uninterrupted payment process.
Search for advance and unallocated payments and credit
notes
If you select open entries for payment, LN searches for advance
and unallocated payments or credit notes, that you can apply to the open entry. LN displays a warning
or generates a report of the business partners for which such documents exist.
You can display the available advance payments, unallocated payments, or credit
notes for the business partner and assign them to the open entries.
Multi financial company payment
In a multi financial company structure, LN searches all the
financial companies of the group company.
In the CMG Parameters (tfcmg0100s000) session, you must set these parameters:
Payments by Company Group
If this check box is selected, the group company will make all the payments
on behalf of the individual company.
Example
Company A, B, and C belong to a group company
D.
If this check box is cleared, payments can be created, either
separately for company A, B, and C, or for company D.
If this check box is selected, payments can be made only by the group
company D on behalf of company A, B, and C.
Group companies are defined in the Company Parameters (tfgld0503m000) session.
Multi-Company Selection of Invoices for Payment
If this parameter is set to Select Invoices or Both,
you can select invoices from other companies for payment, provided for the
other company the following parameters are set as below:
The Payments by Company Group check box is
cleared.
The Multi-Company Selection of Invoices for Payment parameter is set set to Own Invoices Selectable or Both.
The automatic payment procedure
To run the automatic payment procedure, use this sequence of
sessions:
Standing Orders (tfcmg1510m000)
For payments for which no purchase invoice is available, you
can create standing orders. For details, refer to Standing orders
Select Invoices for Payment (tfcmg1220m000)
Use this session to select the invoices
which are due for payment in the open entries of the Accounts Payable module,
as well as standing orders
LN selects the purchase invoices and cost invoices for which these conditions are
fulfilled:
The invoice is approved.
The Approved for Payment status is Yes or Not Applicable.
If you select the Select Non Approved Invoices for Payment check box in
the CMG Parameters (tfcmg0100s000) session, unapproved invoices can also be selected.
Other parameters selected in the CMG Parameters (tfcmg0100s000) can also have an effect on the invoice selection.
LN searches for unassigned advance and unallocated payments and credit notes for
the business partners, and automatically generates a report of the business
partners for which such documents exist. Before you continue the payment
process, you can assing the payments and credit notes to the open entries.
Based on several
selection criteria, a pro-forma payment batch is created which is processed for
payment. You can settle sales invoices and credit notes with purchase invoices.
Payment Advice (tfcmg1609m000)
Review the selection of purchase invoices and standing
orders, and make the necessary adjustments.
For example, you can make these changes:
Change the bank details, or the payment method.
Add a payment to the batch.
Delete individual payments.
Delete the complete payment batch.
If unassigned advance and unallocated payments or credit
notes exist for the business partner of the invoice, LN displays a warning.
On the appropriate menu,
you can click BP Open Entries to display the available documents.
Use this session to combine payments into a batch according to the
values set up in the CMG Parameters (tfcmg0100s000) session. LN searches for a bank relation for each transaction as described in Assigning bank relations.
Related sessions
Depending on the values of the relevant parameters in the CMG Parameters (tfcmg0100s000) session, after you click Compose in the Process Payments (tfcmg1240m000) session, LN can start these sessions:
Batch Numbers for Payment Procedure (tfcmg1521m000) > Assign Banks to Payments (Manually) (tfcmg1251m000)
If LN cannot automatically assign bank relations to the transactions, the Assign Banks to Payments (Manually) (tfcmg1251m000) or the Assign Banks to Direct Debits Manually (tfcmg4251s000) session starts automatically,
and you must select a bank relation for the transaction.
Audit Payments (tfcmg1255m000)
This session validates the payment batch. LN checks and
validates this data:
Whether the payable amount exceeds the maximum amounts per
pay-to business partner and for free payments for which you are authorized in
the Payment Authorizations (tfcmg1100m000) session.
Whether all invoices have a valid payment method
assigned
Whether invoices from subcontractor business partners are
paid from a blocked account
The business partners bank account and address
details
The financial business partner groups
The posting data of the intermediate steps defined for the
payment methods
The posting data for stand-alone, and cost standing orders
payments
The bank relation details
LN prints a report of the detected errors. After you solve the problems, run the Process Payments (tfcmg1240m000) session.
If the payable amount exceeds the maximum amounts for which
you are authorized, you can make adjustments in the Payment Advice (tfcmg1609m000) session.
Print Remittance Letters (tfcmg1270m000)
If remittance letters are required for the payment method, the Print Remittance Letters (tfcmg1270m000) session starts automatically. The remittance
letter contains details about the invoices and the individual
payments.
Use this session to combine payments into a batch.
If the Payment Batch Approval check box is selected in the CMG Parameters (tfcmg0100s000) session, you can only compose a batch after an
authorized user approves the batch.
Payments to a business partner can be added to a batch if
the payments have the same:
When the transfer payment process is complete, a file is created
in the location that is specified in the Data by Data by Bank/Payment Method (tfcmg0145s000) session. From there the file can
be sent to the bank.
Use this session to maintain bank data that is linked to a selected payment method.
The data includes the transactions of
receipts and payments with the bank relation.