What Setup Is Required to Process EFT?

The following table overviews what setup is required prior to processing EFT payments. These items have been detailed in previous chapters.

Customer Group (AR00.1)

Select whether you will process EFT payments and at which level you want to process them. Defining customer groups

Note: EFT processing that cross companies require that all companies use the same base currency across the customer group.
EFT Calendar (AR00.2) Select which EFT calendar you will use for the customer group. Options for defining a customer group
EFT Notification (AR09.5) Define EFT notification methods, adjustment methods, and payment formats. EFT options for defining a customer group address
EFT Customers (AR09.7) Define optional customer relationships for EFT processing. EFT options for defining a customer group address
Banks (AR09.2) Define the EFT bank information. EFT & BOE options for defining a customer group address
EFT (AR09.6) Define EFT parameter defaults for banks. EFT & BOE options for defining a customer group address
Cash Code (CB00.2) Select the bank that processes the electronic payment media. Defining Cash Codes (Bank Accounts)
Bank Transaction Definition (CB00.4) Define an EFT payment code. Defining Bank Transaction Codes
Cash Payments (CB00.7) Define the EFT cash payments. Defining Bank Transaction Codes
Company (AR01.1) EFT Tab Select deposit, cash and payment codes. Defining EFT Options
Customer (AR10.1) Main and Processing Tabs Type a default communication number for EFT notification on the Main tab. Enter information for electronic payment methods (credit cards, electronic payment services) used by your customers on the Processing tab. Defining a customer