Supplier payment confirmation

Requirement

For supplier payments of open invoices to be managed and allocated effectively, a file from the bank or an electronic bank statement can be used.

In this country, this file takes the format of an electronic bank statement.

M3 solution

The Automatic Bank Statement functionality in M3 is used to manage bank statements based on the received bank statement file. The bank statement lines can then be automatically allocated to customer and supplier invoices.

To activate bank confirmation for electronic supplier payments, users must set the payment method for bank confirmation, that is, to 3-Yes, electronic by ABS in ‘AP Payment Method. Open’ (CRS071).

The electronic bank statement message is delivered with this country version. For this country version, this message has been adapted, as made available in Infor Localization Services GEMS, ‘Bank Statement Messaging - 100010’:

‘XC - Bank Statement camt053’

Configuration guidelines

Program ID Program name Description or comment
CRS395 Accounting Rule. Set Configure the accounting rules for events AB10, AR30, and AP20.
CRS405 FAM Function. Open Configure functions AB10, GL01, AR30, and AP20.
CRS108 Field Group. Open To generate the standard field groups, select Actions > Gen data.
CRS109 Field Group. Display Permitted Fields To generate the standard fields, select Actions > Standard for the ABUS1 field group.
CMS016

Available Object Ctrl Parameters. Open

To generate the standard object control parameters, select Actions > Gen data.
CMS017 Generic Object Control Table. Open

Set the fields to be used for defining payment variances.

To open (CMS017), you must first select the relevant ABS records. For example, select ABS920 or ABS910, then Related > Ob tbl det lin.

ABS920 Payment Variance Limit. Define Based on the fields set in (CMS017), set the prioritization of the business transaction codes.
CRS692 Bank Account. Open

A record for type 1-Company bank account must exist.

If the Cust bank acc field (customer bank account) is set to 2-Yes, manual update in (ABS900), then records for type 2-Customer bank account must exist.

If the Suppl bnk acc field (supplier bank account) is set to 2-Yes, manual update in (ABS900), then records for type 3-Supplier bank account must exist.

ABS911 Scenario Number. Open Create the scenarios for the bank transaction that a statement line refers to, for example a scenario in which an invoice is searched.
ABS910 Scenario Number. Prioritize Set the prioritization of the scenario numbers.
ABS930 Additional Information. Structure This program is used to improve the efficiency of the search for the appropriate invoices. This program can be set at a high level for all invoices or for specific ranges of invoices.
ABS920 Payment Variance Limit. Define You can prioritize the business transaction codes.
ABS900 Bank Account Identifier. Open See Infor M3 Core Configuration Guide for Infor Localization Services GEMS for the detailed configuration guidelines required for the upload of the electronic message.
ABS100 Bank Statement. Open Set the Release manually allocated invoices (Rel man all inv) field on the settings in (ABS100) as required. To change this, select Actions > Settings.

Validate the received statement.

See the Infor M3 Core Configuration Guide for Infor Localization Services GEMS for the detailed configuration guidelines for the applicable messages.