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When the payment is executed the payment history contains the information of the G-account entries.

Direct banking and G-Account Processing steps.

Setup

  • Additional g-account bankaccount in the vendor card

  • Setup split of percentage or amount in the vendor card

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Purchase Invoice

  • When creating the Purchase invoice the G-account settings from the Vendor card are copied into the Purchase invoice header
    - If specified from the Vendor card you can always overrule in the purchase invoice
    - If not specified on the Vendor Card you can enter the info direct in the Purchase invoice
    - After posting the Purchase invoice only 1 Vendor ledger entry is created

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Payment initiation from the Telebanking localization

  • Performing the Proposal in the Telebanking results in 2 separate lines with the split based on amount or percentage registered in the Purchase invoice

  • Processing the proposal and creating the export for the payment of the G-account is processed similar to the default vendor payments process. (DB will keep track of the G-Account entries table and if open yes/no)

  • DB Import/job queue
    Import and reconciliation is carried out within the same default reconciliation process. (DB will keep track of the G-Account entries table and if open yes/no)

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Posting of the Bank/Giro

  • Payed G-Account entries will be applied against the outstanding vendor ledger entries.