Recipient Bank Account Field, Gen. Journal Line Table
Specifies the bank account that the amount will be transferred to after it has been exported from the payment journal. The preferred bank account is automatically inserted.
Note
If more than one bank account is set up for the vendor, then the account in the Preferred Bank Account field in the Vendor Card window is automatically inserted. However, you can select another vendor bank account for the payment.
For more information, see How to: Export Payment Bank Files.
Tip
For more information on how to work with fields and columns, see Work with Data. For assistance in finding specific pages, see Search.
Parent Tables
Table | Location |
---|---|
Gen. Journal Line Table | General Ledger |
Posting No. Series Field, Gen. Journal Line Table | General Ledger |
Posting No. Series Field, Gen. Journal Line Table | General Ledger |
Posting No. Series Field, Gen. Journal Line Table | General Ledger |
Gen. Journal Line Table | General Ledger |
Posting No. Series Field, Gen. Journal Line Table | General Ledger |
See Also
Reference
Allow Payment Export
Payment Export Format