FR-00004 Update method of payment on customer
This procedure walks you through adding a bank account to a customer record in France and updating a method of payment for the same customer.
Before you can complete this procedure, you must import the following electronic reporting configurations: payments.initial.version.xml and BillsOfExchangeRemittance_FR.xml.
This procedure was created using the demo data company FRSI.
- Go to Accounts receivable > Customers > All customers.
- In the list, find and select the desired record.
- In the list, click the link in the selected row.
- On the Action Pane, click Customer.
- Click Bank accounts.
- Click New.
- In the Bank account field, type a value.
- In the Name field, type a value.
- In the Bank account number field, type a value.
- In the Routing number field, type a value.
- Expand the Address section.
- Click New.
- In the Name or description field, type a value.
- In the Country/region field, enter or select a value.
- In the list, click the link in the selected row.
- Select FRA
- Click OK.
- Close the page.
- Expand the Addresses section.
- Click Edit.
- In the list, click the link in the selected row.
- Click OK.
- Expand the Payment defaults section.
- Click Edit.
- In the Method of payment field, enter or select a value.
- In the list, find and select the desired record.
- Set Method of payment = BOEPDF
- In the list, click the link in the selected row.
- In the Bank account field, enter or select a value.
- In the list, click the link in the selected row.
- Change to Bank account = 1
- Click Save.