Data by Bank/Payment Methods (tfcmg0545m000)
Use this session to list the data by bank/payment method, which you can use as default values in the Data by Bank/Payment Method (tfcmg0145s000) details session.
Field Information
- Bank
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The bank relation.
- Payment Method
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The Payment/Receipt Method.
- Anticipated Payment/Receipt Transaction Type
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The Transaction Type used for the payment method.
- Anticipated Payment/Receipt Ledger Account
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The ledger account linked to the bank relation and payment method.
- Series Number
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The number of the document used for anticipated payments.
- Dimension 1
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Enter the dimensions.
- Path Payment/Receipt Files
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The path in which the payment/direct debit files are written.
The path must end with ~, which represents the file name. For example:
/home/username/~~ creates a file with the current date. Example: 10
/home/username/~~~~ creates a file with the name derived from the current day and month, for example, 1010.
/home/username/~~~~~~~~ creates a file with the name derived from the current day, month and year, for example, 10102001.
You can also create several files with the current date as the file name. A serial number is added at the end of the file name. The path includes #, which represents the serial number for the files created on a single day.
/home/username/~~~~~~~~.# creates 9 files on a single day with the current date and a serial number as the file name. For example, 10102001.1 to 10102001.9
/home/username/~~~~~~~~.## creates 99 files on a single day with the current date and a serial number as the file name. For example, 10102001.01 to 10102001.99
/home/username/~~~~~~~~.### creates 999 files with the current date and a serial number as the file name. For example, 10102001.001 to 10102001.999
Note: This field is enabled, when you set Output Type field to File in the Payment/Receipt Method (tfcmg0140s000) session. - Number of Clearance Days
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Enter the number of days taken to process a bank order. This includes the time taken to send the diskette if the output type is File in the Output Type field in the Payment/Receipt Method (tfcmg0140s000) session.
Clearance days are required for automatic reconciliation in the Select for Automatic Receipt Reconciliation (tfcmg2121s000) session.