The following setup must be performed for the bank data interchange functionality. This includes:
Prerequisites
The FR (French Modifications) and the FR2 (French Best and Practice) applications must be activated in Work with companies/Applications. The preload program for the FR2 application must be run in the company in which you are working. The third-party software supplied by the bank must be installed in order to send the bank remittance files to the bank.
A/R payments
Tables/Files | To do |
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Work with A/R payment modes | The following A/R payment modes are preloaded:
You can set up an A/R payment mode to be automatically changed to a payment mode for repayments when there is a negative total amount in an A/R payment proposal. |
Work with document types | For the applicable A/R document type define the following:
These parameters indicate to the bank how to handle the A/R payment. |
Work with banks | Define for each applicable bank that it should be activated to handle A/R bank data interchange payments and if it should be activated for electronic bank reconciliation of G/L transactions. Enter the local system library where the bank remittance file should be stored after creation. Note: The preloaded CFR system bank group must be defined for the bank. |
A/P payments
Tables/Files | To do |
---|---|
Work with A/P payment modes | The following A/P payment modes are preloaded:
|
Work with document types | For the applicable A/P document type define the following:
These parameters indicate to the bank how to handle the A/P payment. |
Work with banks | Define for each applicable bank that it should be activated to handle A/P bank data interchange payments and if it should be activated for electronic bank reconciliation of G/L transactions. Enter the local system library where the bank remittance file should be stored after creation. Note: The preloaded CFR system bank group must be defined for the bank. |