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Add Creditor Payment

Click on Creditors Module> Activity> Creditor Payment Search

Click Add button to create a new Creditor Payment

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Authorize  
Process
Attachment
Memo Note
View Document
Creditor History
Add New Documents
View Attachments

Printing Options Dropdown

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Print Payment Doc  
Print Documents
Print Remittance

Print Payment Doc

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All Creditors

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Date  
Branch
Aging
Plus Days
Currency
Division
Region
Status
Acct. Manager
Payment Date
Sort By Code
Include Authorised Purchase Orders
Include Prepared GRVs
Description
Reference


Selected Creditor

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Creditor  
Branch
Include Authorized Purchase Orders Tick
Include Prepared GRVs Tick
Remittance Date
Payment Date
Description
Reference

Click Next

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Doc. No.
 
Description
Creditor Code
Bank Accounts
Reference
Creditor Name
Doc. Status
Notes
Clear Cash Book Amounts
Update
Update All Values



Payment Verify Lines

Supplier Payments batch includes a verify data to ensure that all lines are valid and checks for any changes

1 Removes invoice lines that are already fully allocated
2 Updates payment balances due on supplier invoices
3 Updates allocation comments which are blank on the payment batch
 

  


Force New Cashbook

The system allows one to create multiple cash book payments for the same day but separate them as individual cashbooks.

If you put the tick on for “force new cash book” then this will not add to existing cash book but create new cash books.

This will not work on bulk process batches.

This will sort out issues where you want to create multiple payment cash books for the same day.

 


Add New Document(s)

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