Setting Up Bank Records of Partners in Singapore
Set up the bank account records of each partner to whom you will send electronic bank payments. You can set up multiple bank accounts for each partner.
To set up partner bank details in Singapore:
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Go to Lists > Relationships > Partners.
For information about adding a partner, see Creating a Partner Record.
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Click the Edit link next to the name of the partner.
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On the Bank Payment Details subtab, check the EFT Bill Payment box, and click Save.
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Click New Bank Details.
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Complete the fields on the Bank Details page. The fields displayed are dependent on the selected Payment File Format. The following table lists the common fields displayed, you may disregard those that are not displayed.
Field
Description
Name
Enter a unique name for this entity bank detail record.
EFT Template
Select any of the following Electronic Fund Transfer (EFT) payment file formats to use when sending payments to this partner:
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DBS Singapore Ideal 3.0 Universal File Format Domestic Transfer
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DBS Singapore Ideal 3.0 Universal File Format International Transfer
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DBS – IDEAL specifications of DBS Bank Limited
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UoB – BIB-IBG specifications of United Overseas Bank Limited
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ISO 20022 of HSBC
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Citibank Singapore XML Domestic Transfer
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Citibank Singapore XML International Transfer
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Citibank Singapore XML GIRO
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HSBC Singapore pain.001.001.03 Low and High Value Domestic Payments
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JP Morgan Singapore pain.001.001.03 Low and High Value Domestic Payments
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OCBC Singapore GIRO and FAST Payments
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Standard Chartered Bank Singapore iPayment CSV GIRO and Domestic Payments
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UOB Singapore pain.001.001.03 GIRO, FAST and Domestic Payments
Note:To use international transfer payment formats, you must have an active license for advanced Electronic Bank Payments and you must install the NetSuite SuiteApps License Client SuiteApp in your account. With active license for advanced Electronic Bank Payments, domestic and cross-border templates are available and you can edit the template as needed. If you use the free version of Electronic Bank Payments, only domestic templates are available and you cannot edit the template, but you can edit the PFA output file.
Type
Select whether the bank account is the partner’s primary or secondary bank account.
Account Name/Bank Account Name
Enter the partner’s bank account name.
Bank Number/Bank Code
Enter the 4-digit number that identifies the partner’s bank.
Branch Number/Branch Code
Enter the 3-digit number that identifies the bank branch where the partner’s account is maintained.
Account Number/Bank Account Number
Enter the partner’s bank account number.
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For DBS Singapore Ideal 3.0 Universal File Format Domestic Transfer - maximum of 34 digits
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For DBS Singapore Ideal 3.0 Universal File Format International Transfer - maximum of 34 digits
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For DBS – IDEAL – 11 digits
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For UoB – BIB-IBG – 11 digits
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For HSBC ISO 20022 – 7-12 digits
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For Citibank Singapore XML Domestic Transfer - maximum of 34 digits
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For Citibank Singapore XML International Transfer - maximum of 34 digits
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For Citibank Singapore XML GIRO - maximum of 34 digits
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For HSBC Singapore pain.001.001.03 Low and High Value Domestic Payments - maximum of 34 digits
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For JP Morgan Singapore pain.001.001.03 Low and High Value Domestic Payments - maximum of 34 digits
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For OCBC Singapore GIRO and FAST Payments - maximum of 34 digits
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For Standard Chartered Bank Singapore iPayment CSV GIRO and Domestic Payments - maximum of 34 digits
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For UOB Singapore pain.001.001.03 GIRO, FAST and Domestic Payments - maximum of 34 digits
Bank Name
Enter the name of the partner’s bank.
Street Name
Enter the street name of the partner’s address.
Building Number
Enter the building number of the partner’s address.
Post Code
Enter the post code of the partner’s address.
Town Name
Enter the town name of the partner’s address.
Country Subdivision
Enter the country subdivision of the partner’s address.
Address Line
Enter any additional details of the partner’s address.
Purpose Code
Enter the Purpose Code that specifies the reason for the payment.
Note:Refer to your bank’s website for the list of Purpose Codes.
Charge Bearer
Select who will pay the charges for processing the payment transaction:
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"DEBT" - Debtor will pay all charges
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"CRED" - Creditor will pay all charges
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"SHAR" - Debtor and Creditor will pay their own charges
Service Level
Enter the bank’s supported electronic fund transfer service type.
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Click Save.
You can also set up bank records of vendors, employees, customers and partners by importing bank details in CSV format into NetSuite using the Import Assistant. For more information, see Importing Electronic Bank Payments Data.