Compose Direct Debits Manually (tfcmg4245m000)

Use this session to combine the direct debits manually.

If the Direct Debit Batch Approval check box is selected in the CMG Parameters (tfcmg0100s000) session, you can only compose a batch after an authorized user approves the batch.

Field Information

Direct Debit Batch

Select the direct debit batch number.

Pay by Business Partner

Select the pay-by business partner who will make the payments.

Currency

The currency used to express the direct debit amount.

Payment/Receipt Method

The payment method linked to the direct debit in the selected batch.

Business Partner Bank

The code of the bank from which you receive the direct debit amount.

Cash Date

The date on which you must receive the combined direct debit amount.

Sequence Number

The sequence number that enables you to create several combined payments.

Bank

The bank code used to receive the direct debit.

Transaction Amount

The total amount of the combined direct debits.

Reference

The invoice reference.

Note: This field populated with the External Invoice number.