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.
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.