You must enter the payment/receipt method code.
The code identifies the data that applies to a certain payment method.
Payment/Receipt Methods (tfcmg0540m000)Use this session to list the payment methods, which you can view and maintain in the Payment/Receipt Method (tfcmg0140s000) details session.
Payment/Receipt Method You must enter the payment/receipt method code.
The code identifies the data that applies to a certain payment method. Receipt/Payment This field indicates whether the payment method refers to a Payment or to a Receipt. Kind of Payment/Receipt The type of payment or receipt of the payment/receipt
method. The type of payment or receipt determines how LN will process the
payment or the receipt.
Trade Note Posting Data by Payment/Receipt Method Starts the Trade Note Posting Data by Payment/Receipt Method (tfcmg0514m000) session, which you can
use to define specific posting data for the payment /receipt method. If you
select the Trade Note to be implemented check box in the CMG Parameters (tfcmg0100s000) session and the Kind of Payment/Receipt is Trade Note, this command is available. Generate Trade Note Posting Scheme For a trade note type for which the Posting Scheme by BP Group check box and the Replace Invoice by Trade Note check box are selected
in the Trade Note Types (tfcmg0516m000) session, this command generates the posting
scheme for the payment/receipt method according to the ledger accounts defined
for the business partner group in the Accounts by Financial BP Group (tfacr0110m100) session. Delete Trade Note Posting Scheme Deletes the posting scheme for the payment/receipt method that
you generated earlier. Bank Priorities by Payment Method and Currency Starts the Bank Priorities by Payment Method and Currency (tfcmg0121m000) session. Use this session to define the priorities of bank relations in the bank assignment process. Assignment Criteria by Payment Method and Bank Relation Starts the Assignment Criteria by Payment Method and Bank Relation (tfcmg0122m000) session. Use this session to define the criteria LN uses to assign bank relations to a batch with a specific payment method
or receipt methods.
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