Payment Extract Payment

Overview

The payment approval process allows users to verify the information related to all draft payments which are contained into the Extract Payment. A decision can then be made to approve or cancel a Payment Extract. Approval affects General Ledger through automatic generation of Journal Vouchers for the payments.

The payment Extract - Payments contain the information regarding cheques or electronic transfers, and the workflow control of Extracts. A Cheque/Transfer register could be the summary of several invoices related to a single vendor.

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Treasury Management ► Payments ► Payment Extract Payment

Payment Extract Payment Fields

FieldDescription
 IdThe system generates a unique id for PEP.
Workflow StatusDepending on the Workflow Configuration Setting for this Entity the basic Stages are: Created, canceled, approval requested, etc.
Payment ExtractPayment Extract to be selected from the lookup button.
Payment MethodMethod of payment is to be selected which may be Cash, Cheque, EFT, etc.
Accounting OfficeAccounting Office Code. It is updated according to the Payment Extract Payment process.
Treasury Bank AccountTreasury Bank Account relating to Payment Extract is selected from the lookup button.
Bank AccountBank account relating to Payment Extract is to be selected from the dropdown box.
Note Reference NumberThe reference number for "payment with the note".
Note DateIt allows the user to enter the note reference date.
Is AccountingThis attribute is marked when the expense voucher to pay is configurated as "Accounting".
Bank Account NameName of the bank account is entered in this field.
BranchBranch to which the bank account relates is entered in this field.
BeneficiaryVendor to whom the Payment is made is selected from this field.
Cheque SeriesThe series to which the cheque issued belongs.
Cheque NumberCheque number which is issued.
Transfer NumberNumber identifying the transfer transaction.
Transfer Package NumberIt is updated when Allow Generate Transfer Package is set as true in the system setting.
Release DateDate on which payment is released.
Number Of ReleasesA number of times in which the total payment was released. The default value is Zero.
Printed DateIt is updated by the system. The user can't change it.
Delivered DateDate of delivery of the payment amount.
CurrencyCurrency in which the payment was made.
Exchange RateThe exchange rate on the date of payment is entered.
Domestic AmountTotal amount in domestic currency.
Foreign AmountPayment amount expressed in foreign currency.
Handling IndicatorSpecial indicator defined by the user in Expense Vouchers. Will be used to give more flexibility to group payments.
Expense Voucher ClassificationThe user can select the expense voucher classification using the drop-down button.
Created OnDate of creation of Payment Extract.
Created ByThe user who created the Payment Extract.
Approved OnDate on which the payment was approved.
Approved ByThe user who approved the payment.
Payment Journal VoucherAutomatically assigned by the system when this payment is approved
Expired Cheque Journal VoucherAfter marked as Expired Cheque the automatic JV generated will be referenced in this attribute.
Cheque Lot NumberAfter marked as part of the cheque lot the system auto-generates the number.
InvoiceList of Invoices linked with the Payment
Rejection DescriptionDescription corresponding to the rejection code received in the bank notification.
Payment InvoicesInvoices related to the payment gets added here.