Process Payments
When you make a payment to a vendor, you post the payment in a payment journal. You can either import a bank statement file use the Suggest Vendor Payments batch job in the payment journal to find payments that are due. You can also use the Vendor - Summary Aging report to get an overview of payments that are due.
When the payments are posted, export them to a bank file for upload to your electronic bank site for processing. For more information, see Make Payments with Bank Data Conversion Service or SEPA Credit Transfer.
Note
The generic version of Microsoft Dynamics NAV supports the SEPA Credit Transfer format. In your country/region, other formats for electronic payments may be available. To enable export of a bank file formats that are not supported by the generic or local versions of Microsoft Dynamics NAV, you can use the Date Exchange Framework. For more information, see How to: Enable Import/Export of Bank or Payroll Files Using the Data Exchange Framework.
From the Payment Journal window, you can print computer checks or record when checks are written manually.
When Computer Check is selected in the Bank Payment Type field in the Payment Journal window, the checks must be printed before the journal lines can be posted.
When the payments are made on your electronic bank site, import the bank transactions to apply the payments to open purchase documents, so they can be posted to vendor, general, and bank account ledger entries.
The following table describes a sequence of tasks, with links to the topics that describe them. These tasks are listed in the order in which they are generally performed.
To | See |
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Determine which payments to pay, according to criteria that you define. |
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Make sure the posting date of vendor payments are calculated from the payment due date. |
How to: Insert Due Date as Posting Date on Payment Journal Lines |
Fill in the lines in a payment journal manually. |
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Get an overview of amounts that are due or will be due for payment. |
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Print computer checks or record checks that are written manually. |
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View a computer check before printing it. |
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Export payments from the Payment Journal window to a bank file that you upload to your electronic bank account for processing. |
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Re-export payments to a bank file from the Credit Transfer Registers window, for example because the file from an earlier export was lost. |
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Apply vendor payments to open purchase invoices or credit memos using an automatic application function in the Payment Reconciliation Journal window. |
See Also
Tasks
Concepts
Manage Payables
Make Payments with Bank Data Conversion Service or SEPA Credit Transfer