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You can receive multiple payments from multiple customers on this screen. Posting receivables in this screen will automatically generate a Receive Payments Detail record. Here is what you need to know when posting multiple receivables using this screen.

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  1. Transactions having the same Customer No., Payment Method, and Notes will be grouped and posted in one Receive Payments Detail record.
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  2. Transactions having the same Customer No., but different Payment Method or Notes will each have a separate Receive Payments Detail record.
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The following are the steps in posting receivables on this screen.

  1. Open the Receive Payments screen from Sales | Receive Payments menu.
  2. Fill out the header fields. Refer to Receive Payments | Field Description | Header Details for  for the definition of each field.
    1. Enter a new Date  Date Paid if  if necessary.
    2. Select a new new Location if  if necessary.
    3. Select a new Date Paid if necessary.
    4. Select the Bank Account where the payments will be deposited.
  3. Enter the grid details. Refer to Receive Payments | Field Description | Grid Details for  for the definition of each field.

    Note

    You can use the Filter field, Location, and Currency to filter and narrow down the number of records in the grid.

    1. Enter a different different Discount or  or Interest amount  amount if necessary.

    2. Enter the Payment amount in the line item that you wish to receive the payment from. You can also double click in the Payment field to automatically enter the entire Amount Due into the Payment field.

    3. Select from the Payment Method combo list box the type of payment the customer used.

    4. If necessary, enter any additional information about the payment in the Notes field.

  4. Click the the Post button. The The Receive Payments Posting Details screen will  will be displayed. This screen will give you an overview of the posting results.
  5. Close the  the Receive Payments Posting Details screen. The transaction will be removed in the list if fully paid. Otherwise, it will remain on the grid, but with updated Amount Due.

 

Here is what you need to know when posting multiple receivables using this screen.

  1. Posting different receivables from the same customer.
    1. Transactions having the same Customer No., Payment Method, and Notes will be grouped and posted in one Receive Payments Detail record.
      Image Added
    2. Transactions having the same Customer No., but different Payment Method or Notes will each have a separate Receive Payments Detail record.
      Image Added
  2. Posting different receivables from different customers. Transactions having different Customer No will each have a separate Receive Payments Detail record.
    Image Added


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You can receive multiple payments from multiple customers on this screen. Posting receivables in this screen will automatically generate a Receive Payments Detail record. Here is what you need to know when posting multiple receivables using this screen.

  1. Posting different receivables from the same customer
    1. Transactions having the same Customer No., Payment Method, and Notes will be grouped and posted in one Receive Payments Detail record.
    2. Transactions having the same Customer No., but different Payment Method or Notes will each have a separate Receive Payments Detail record.
  2. Posting different receivables from different customers. Transactions having different Customer No will each have a separate Receive Payments Detail record.


The following are the steps in posting receivables on this screen.

  1. Open the Receive Payments screen from Sales | Receive Payments menu.
  2. Fill out the header fields. Refer to Receive Payments | Field Description | Header Details for the definition of each field.
    1. Enter a new Date Paid if necessary.
    2. Select a new Location if necessary.
    3. Select a new Date Paid if necessary.
    4. Select the Bank Account where the payments will be deposited.
  3. Enter the grid details. Refer to Receive Payments | Field Description | Grid Details for the definition of each field.

    Note

    You can use the Filter field, Location, and Currency to filter and narrow down the number of records in the grid.

    1. Enter a different Discount amount if necessary.

    2. Enter the Payment amount in the line item that you wish to receive the payment from. You can also double click in the Payment field to automatically enter the entire Amount Due into the Payment field.

    3. Select from the Payment Method combo list box the type of payment the customer used.

    4. If necessary, enter any additional information about the payment in the Notes field.

  4. Click the Post toolbar button. The Receive Payments Posting Details screen will be displayed. This screen will give you an overview of the posting results.
  5. Close the Receive Payments Posting Details screen. The transaction will be removed in the list if fully paid. Otherwise, it will remain on the grid, but with updated Amount Due.

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