The following activity codes (sorted by type) may have an impact on the way the function operates :
LEG : Multi-legislation management
REM : Number of discount note lines
The sequence numbers used to number the documents managed by this function are :
PY5 : Payments-Deposit Slips
The sequence number assignment function defines the sequence number which is used
An authorization can be granted for this function to limit the processes to a company or a site.
The following options can be activated or deactivated for each user :
Access by user
The following tables are used by the function. Their content must be updated if necessary :
Table | Table description |
---|---|
BANK [BAN] | |
TABPAYTYP [TPY] | |
TABCUR [TCU] | |
FACILITY [FCY] | |
COMPANY [CPY] | |
GACCOUNT [GAC] | |
TABCHANGE [TCH] | Currency rate table |
BPARTNER [BPR] |
The payment transaction parameters are used to define if the payment must be put on a bank remittance. The creation of a remittance is mandatory if the payment transaction authorizes an intermediate posting phase.
A bank must therefore be associated with the payment in order that it can be recorded on a remittance.
In bank parameters (see the documentation Bank accounts), the 'O/L check remit.' field, if checked, is used to automatically generate separate remittances based on the type of check (local menu 654).