| To set up payment slips for sales invoicesTo set up payment slips for sales invoices, use the following
sequence of sessions: Transaction Types (tfgld0111s000) Create a transaction type with a numeric code for invoices with
a payment slip is numeric. You must do this because the reference number on the
payment slip, which includes the transaction type, must be numeric. Bank Branches (tfcmg0511m000) In the Customer Code field, enter your company's customer
code with the bank that collects the receipts related to the payment slips. The payment slip reference line that LN generates includes
the customer code. Bank Relations (tfcmg0510m000) Define the bank relation that processes the payment slips. In the Bank Account field, enter the bank's post account
number in the format required for the payment slip reference line. The payment slip reference line that LN generates includes
the bank account number. Pay-by Business Partner (tccom4114s000) Ensure that the pay-by business partner code is numeric. The
code must be numeric because the payment slip reference line, which includes
the pay-by business partner code, must be numeric. -
Enter the following pay-by business partner
details: Payment/Receipt Method (tfcmg0140s000) Define the receipt method according to the requirements in
your country. Bank Reference Positions by Country (cisli1130m000) Define the start positions and the lengths of the various
fields required to generate the payment slip reference lines. Additional Currency Features (tfgld0129m000) Select the Payment Slip check box for the currency or currencies
for which you want to generate payment slips. LN generates a payment
slip reference line and prints a payment slip for invoices with this invoice
currency. CMG Parameters (tfcmg0100s000) Select the Create Unallocated Receipt check box. As a result, by
default the Create Unallocated Receipt is selected when you
process the receipts in the Match Electronic Bank Statements (tfcmg5212m000) session.
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