Composed Direct Debits Manually (Header) (tfcmg4247s000)
Use this session to maintain the composed direct debits manually (header).
Field Information
- Direct Debit Batch
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The direct debit batch number.
Direct debit advices are included in this batch.
- Pay-by Business Partner
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The pay-by business partner code
- Search Key
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The search key for the pay-by business partner.
- Currency
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Select the currency exchange rate used to make the payments.
- Receipt Method
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Select the payment method for direct debits.
- Business Partner Bank
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The bank from which you must receive the direct debit amount.
- Planned Debit Date
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Select the date on which you must receive the combined direct debit amount.
- Sequence Number
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This sequence number used to create combined payments within the specified range.
- Bank
-
Enter the code of the bank used to receive the direct debit amount.
- Transaction Amount
-
The combined direct debit amount.
- [
-
The amount is expressed in home currency.
- ]
-
The direct debit amount, expressed in the home currency.
- Reference
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Enter the reference of an invoice. This reference is included in the direct debit order.
Note: This field populated with the External Invoice number.