This chapter contains these topics:
Use automatic payment processing to pay vouchers during your usual payment cycle. To process automatic payments, you assign formats to payment instruments. Then you create payment groups. After you create your payment groups, you process automatic payments in the group. When you select the Write function for your payment group, the system determines which payment formats to generate based on the payment formatting programs that you assign to your payment instruments.
Working with automatic payments includes the following tasks:
Assigning formats to payment instruments
Creating a payment group
Working with payment groups for automatic payments
The following graphic illustrates the working with automatic payments process:
Figure 25-1 Working with Automatic Payments Process
From Accounts Payable (G04), enter 29
From Accounts Payable Setup (G0441), choose Automatic Payment Setup
From Automatic Payment Setup (G04411), choose Payment Instrument Defaults
You can specify various output formats for automatic payments by assigning the programs that generate the formats to user-defined payment instruments. Payment formats can be printed or electronic. Payment instruments can include checks, magnetic tapes, and drafts.
The programs that you assign to your payment instruments determine the formats for payments and any additional output that the system generates when you process payment groups. The additional output components can include:
Attachments - A printed report that contains the detail information that does not fit on a payment stub.
Debit statements - A printed list of debit balances. Debit statements list net amounts that can either decrease or clear the amount of a voucher.
To assign formats to payment instruments, you specify a format generation program for each component of a payment instrument. For example, you could assign program P04573 (for print standard attachments) to the attachments component of your payment instrument for drafts. Then when you generate drafts, the system accesses this program to produce the appropriate type of attachment.
You can also define the specific uses for a payment instrument by assigning a specific bank account to the instrument. For example, you can set up two types of payment instruments for drafts with each type drawn on a different bank account.
Assign the following programs to payment instruments for France:
Program | Explanation |
---|---|
Program | Explanation |
Payment formats | Use the following programs to generate payment formats for France:
|
Registers | Use program P04576 to generate the registers for both electronic transfers and checks for France. |
Attachments | Use the following programs to generate attachments for France:
|
Debit statements | Use program P04574 to generate the debit statements for electronic transfers and checks for France. |
Set up a code on user defined codes file 00/PY for each payment instrument that you use and user defined codes file 04/PP for your payment programs. See Section 4.1, "Setting Up User Defined Codes for France."
To assign formats to payment instruments
On Payment Instrument Defaults
Figure 25-2 Payment Instrument Defaults screen
Complete the following fields:
Payment Instrument
Write Program
Register Program
Complete the following optional field:
Bank Account
Choose the Details function.
Complete the following fields:
Attachment Program
Debit Statement Program
To specify a particular version for a program, complete the following fields:
Write Version
Register Version
Debit Statement Version
Attachment Version
From Accounts Payable (G04), choose Automatic Payment Processing
From Automatic Payment Processing (G0413), choose Create Payment Groups
Before you can generate automatic payments, you must create payment groups. When you create payment groups, the system separates vouchers that have similar information, such as the same bank account and payment instrument. This allows the system to process similar vouchers in the same way. You use the payment groups when you review and write payments.
Each payment group contains information that determines how the group will be processed, including:
Bank account
Payment instrument
Output queue
Each payment group also contains control information that determines which format program the system uses to generate:
Payments
Registers
Attachments
Debit statements
From Accounts Payable (G04), choose Automatic Payment Processing
From Automatic Payment Processing (G0413), choose Work with Payment Groups
After you create payment groups for automatic payments, you can work with them to review and change transfer information. You generally review payment groups twice:
After you create payment groups but before you write bank transfers. This allows you to identify transfers that you want to change or remove from the payment cycle. You can:
Change information at the payment and voucher levels
Remove payment groups, payments, and vouchers from the payment cycle
Change control information for payment groups
After you write automatic payments but before you update the Accounts Payable ledger. This allows you to identify transfers that you want to void or remove from the payment cycle. You can:
Void the automatic payments that were written and rewrite them
Remove payment groups, payments, and vouchers from the payment cycle