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Table of Contents

Table of Contents

Overview

This form enables Enables the bulk payment of creditors invoices rather than having to make payments one by one.

The form allows Allows pay by Direct Debit (DD) using Account Details on the Creditor Maintenance.Supplier

Multiple Groups of payments can be built up and then Approved for action for each bank account.

A group is built up by

  1. selecting creditors
  2. selecting the invoices you plan to pay from those creditors
  3. adding your selections to the group
  4. Clear selection of creditors
  5. Repeat

At any time you can view all invoices selected in the group to be paid


Note

Any invoice that has been selected to be paid in a group will not be listed in other groups regardless of the batch status

Selected column only shows a total of those invoices that have been added to the current group

Any invoice that is part of a group that has a payment allocated to it before the group is completed will be removed from the group

Select the bank account the money will be paid from

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Select the companies to pay

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on the Summary Tab

Note

Values are based on the ASAT date

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Where a Creditor is also a Debtor - Allocate Debtor Debt to Creditor Debt

Where a company is both a creditor and a debtor to your business - you can allocate their Debtor Debt to reduce their Creditor Debt.

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allocate the debt on the debtor to clear the debt on the Creditor

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Note
If a Creditor is also a Debtor and they have Debtor invoices they owe you - these will also be included in the detail list and can be cross allocated as part of the process


Select the Creditor invoices to pay (Detail)

By default all invoices will be selected

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Use the action menu to mass find invoices to pay based on a due on or before date

Can manually update to add or remove any invoice for payment

Can put a payment date in the future if you want to create the payment journals now to manage cash at bank.

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Creditor Credit Notes and unapplied payments are also listed - these can be applied to individual invoices if required before the batch is created.

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The button "Create Payments" will:

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Review the summary Tab - how much each entity will be paid

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Authorise the Group of Payments

Note

The Group of Payments cannot progress until Authorised. The approver to access the system / review and change as required - then approve the group of payments when ready

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Group Status will change to Authorised (note - the group can be set back to Plan status if required)

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Create Payments dated on a chosen date

Note

If the bank reconcilation has been completed for the date chosen - you will not be able to create the journals. If you want to delete bank reqs - see Bank Accounts - Creating and Managing#DeletingBankReconcilations


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Creditor payments will be created for each creditor

Note

if Credit notes are also selected then they will be allocated directly to Debtor invoices until consumed

Remittance Advices is emailed immediately the journals are created - if the customer has an email address. remittance advice reports to the batch as attachments (even if not emailed).  So you can print or download from the batch


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They are all linked to a Journal Batch

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Remittance Advices are attached to the batch so can later be printed / downloaded

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If using a clearing account

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- a

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General Journal (single amount) will be from clearing account to

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bank

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  1. Creditor payments are added to a journal batch
  2. Creditor payment has a status of Undeposited/Pending
  3. Allocate the payment to the chosen invoices
    1. Note - if Credit notes are also selected then they will be allocated directly to Debtor invoices until consumed
  4. Email remittance advice (if the customer has an email address
  5. Attach remittance advice reports to the batch as attachments (even if not emailed).  So you can print or download from the batch

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Note

The payment will have todays the action date chosen. Normally to make it easier to reconcile the bank statement - create payments in the system on the same day you create the payments in the bank

Remittance Advice

Remittance Advice is sent automatically to any contact with an email that has a Role type of "Remittance Advice" for a Creditor being paid.

The Email Templates that will be sent has Usage Context of "Creditor" and a System Usage of "Pay Advice"

The Batch created has all the remittance advices linked as attachments.

Note

Because the email is auto generated by the system you will need to select Auto Gen: Yes or Yes+No on the Correspondence tab to see it listed. You can resend remittance advice by locating the email and using Resend.

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Payment Clearing Account

If your bank has a single line for multiple payments - then you will need to use the Payment Clearing Account

  • Each Creditor Journal will be journaled to the Clearing account nominated in the Maintain GL Control Accounts Screen and they will grouped together in a Journal Batch
  • After creditor payments are created for all selected creditors a general journal is written to transfer the funds for all of the payments, from the Payment Clearing account to the selected bank account

Journal Batches Screen

Review the Batch created

You can easily find the batch from Journal Batches screen

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View the individual payment journals (if using Clearing Account the Clearing Account Journal will be included

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Detailed view of a Debtor Payment Journal created and the allocations created

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The batch has a link to the Summary Journal created if using a Clearing Account

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Where you can view the details - use the link on the line to open the batch

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  1. Upload the bank statement
  2. Find the ones that are not in the system
  3. Create transactions for these from the bank reconciliation upload

See Bank Accounts - Creating and Managing  for details

Deleting (or rolling back) a Bulk Pay Suppliers Batch

Note

If any journals have been cleared in a completed Bank

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Reconciliaiton - the batch will not be able to be rolled back. You can delete bank Reconcilations using Bank Accounts - Creating and Managing#DeletingBankReconcilations

For an employee with Secure Features#RollbackCreditorsPaymentBatch, on the Pay Suppliers form, Finder tab, there is a right click option to 'Rollback payment batch'.

This action will unallocate and delete all journals in the batch, set the batch to Cancelled status, write an entry in the system event log showing the suppliers and payment amounts in the batch and set the Pay Suppliers batch back to Plan status.

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