To set up payment slips for purchase invoices

To set up the processing of payment slips on purchase invoices, use the following sequence of sessions:

  • Pay-to Business Partner (tccom4124s000)

    Enter the following details:

    • Bank Relation

      Your bank relation through which you make payments to the business partner' bank.
    • Bank Account

      The business partner's bank to which you make payments to the business partner.
    • Bank Account Number

      The business partner's bank account number.
  • Data by Bank/Payment Method (tfcmg0645m000)

    Define the payment 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 bank reference number on the payment slip.

  • Additional Currency Features (tfgld0129m000)

    Select the Payment Slip check box for the currency or currencies for which you receive payment slips. if you register the invoices in Received Purchase Invoices (tfacp1500m000) session, LN reads the payment slip reference line with an optical character reader (OCR).
  • Data by Bank/Payment Methods (tfcmg0545m000)

    Link the payment method to the bank relation and in the Path Payment/Receipt Files field, enter the pathname for the DTA files. You can append tilde (~) characters to the filename to add the current year, month, and day to the generated file names.