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Format Automatic Remittances Report

Use this report to review the standard format of your automatic and manual remittances. Receivables provides a standard format that you specify in the Automatic Print Program field of the Receipt Classes window. If you require a different format for your receipt print program, you must copy the standard program provided, then modify it accordingly. This remittance report is sent to the bank to initiate the transfer of funds.

The report prints a list of remittances to be sent to a remittance bank branch. Remittance details include customer name, number and bank account, the payment method, the due date and the receipt number and amount. Receivables displays the total amount remitted for each bank branch.

See Also

Creating Remittance Batches

Formatting Automatic Receipts

Receivables Standard Reports and Listings

Running Standard Reports and Listings

Common Report Parameters

Receipt Classes


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