Difference between revisions of "Paying suppliers"
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* At {{DataPrompt|Cheque no./Comment}} enter the cheque number or a comment e.g. {{DataValue|CASH}}, {{DataValue|VISA}}, {{DataValue|ALLOCATED}} (if you are taking a credit against an invoice). | * At {{DataPrompt|Cheque no./Comment}} enter the cheque number or a comment e.g. {{DataValue|CASH}}, {{DataValue|VISA}}, {{DataValue|ALLOCATED}} (if you are taking a credit against an invoice). | ||
* Make sure the payment centre is correct, When paying cheques out the centre should usually be {{DataValue|Z992}} - "Bank Account". | * Make sure the payment centre is correct, When paying cheques out the centre should usually be {{DataValue|Z992}} - "Bank Account". | ||
+ | * If you have taken a settlement discount select {{DataValue|Adjustment}} to allow the system to post the amount of discount taken for you. If your supplier will send you a credit note for the discount taken select {{DataValue|Credit Note}}. | ||
* Select {{Button|Done}}. | * Select {{Button|Done}}. | ||
* You may choose to print a remittance at this stage by selecting the {{Button|Remittance}} button. | * You may choose to print a remittance at this stage by selecting the {{Button|Remittance}} button. | ||
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* [[How do I change the method of payment after it has been posted?]] | * [[How do I change the method of payment after it has been posted?]] | ||
* [[How do I reverse a Payment to a Supplier?]] | * [[How do I reverse a Payment to a Supplier?]] | ||
− | |||
* [[Posting Payments Received]] | * [[Posting Payments Received]] | ||
+ | * [[How do I Allocate a Payment to a Credit Note?]] | ||
+ | * [[How do I Handle Contras?]] | ||
− | {{KB_Tags|Posting, Payments, Supplier, pay, paid}} | + | {{KB_Tags|Posting, Payments, Supplier, pay, paid, settlement}} |
{{KB_PL}}{{ZN_Accounts}} | {{KB_PL}}{{ZN_Accounts}} | ||
{{KB_Ref|SL04, PL04}} | {{KB_Ref|SL04, PL04}} |
Revision as of 06:59, 19 August 2016
Summary
This article explains how make a payment to a Supplier.
More Information
Go to " Purchase Ledger Payments".
- At "Supplier:" type in the supplier's account code if known, or search for a supplier.
- Select the document you want to pay.
- Press <F> to pay the amount in full.
- If you are not paying the whole amount enter the amount you are paying.
- Move across the screen to the discount column, to apply any discounts you are receiving. If any documents have a settlement available you can press <S> and the settlement amount will be calculated for you.
- Press [Done] to enter the payment details. Make sure the date is correct i.e. the date you received payment or the date of the cheque you are issuing.
- At "Cheque no./Comment" enter the cheque number or a comment e.g. 'CASH', 'VISA', 'ALLOCATED' (if you are taking a credit against an invoice).
- Make sure the payment centre is correct, When paying cheques out the centre should usually be 'Z992' - "Bank Account".
- If you have taken a settlement discount select 'Adjustment' to allow the system to post the amount of discount taken for you. If your supplier will send you a credit note for the discount taken select 'Credit Note'.
- Select [Done].
- You may choose to print a remittance at this stage by selecting the [Remittance] button.
- Select [Accept] and the "Payment" is complete.
See also
- How do I find a supplier?
- How do I change the method of payment after it has been posted?
- How do I reverse a Payment to a Supplier?
- Posting Payments Received
- How do I Allocate a Payment to a Credit Note?
- How do I Handle Contras?
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Tags
SL04, PL04