Send Checks to Bank (tfcmg4130m000)

This session lists trade notes that have been:

  • Accepted by the business partner, if you use the Document Accepted by Business Partner option.
  • Sent to the customer, if you do not use the Document Sent to Business Partner option.

LN creates a file for the selected trade note. This file is stored based on the specifications defined in the Path Trade Notes File field of the Bank Relation (tfcmg0110s000) session.

Note: If you have started this session by zooming, you can only find and select a record.

Field Information

From Bank

The pay-from bank relation code.

Business Partner

The business partner used to make receipts or payments.

Due Date Trade Note

The due date of the trade notes.

Document Anticipated

The Transaction Type used in the document.

Document for Ant. Pmt.

The document number of the anticipated payment, as specified in the Bank Transactions (tfcmg2500m000) session.

Currency

The currency used to express the anticipated payment or receipt amount in the payment document.

Transaction Amount

The total amount of all payments made with this payment document.

Send Y/N

The status of the trade note.

No

The trade note is not selected to be sent to the bank.

Yes

The trade note is selected to be sent to the bank.

Printed

The trade note is printed.

Send Document to Bank

The bank relation code.

Default value

The value of the FromBank field will appear by default.

A payment method must be linked to the bank entered in the FromBank field.

You can link a payment method to the bank in the Data by Bank/Payment Method (tfcmg0145s000) session.

Total Selected Amount

The home currency in which the amount is expressed.

Total Selected Amount

The total selected amount expressed in the home currency.