Common directory | The directory where the e-Payment files and e-Reconcile statement files save to.To amend this, enter the path to the data or click Browse to locate the directory. |
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Override common directory | If you don't want to use the same directory for e-Payment files and e-Reconcile statements, select this check box. |
Statement Reconciliation Service | This is the directory where the statement files from your banking software save to.. To amend this, enter the path to the data or click Browse to locate the directory. You can also enter the file extension your banking software saves the statement files as, for example, TXT. This ensures only files with that extension appear in the Import window. |
Payment file options | This is the directory, file name and extension of the e-Payments file that your on-line banking software uses. To amend this, enter the path to the data or click Browse to locate the directory. If you don't enter a file identifier, the file name is the date in the format DDMMYYYY. For example, 01012018.
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Use ePayments | Click Yes. |
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BACS Ref | Enter the BACS reference number. |
Beneficiary | Enter the name of the supplier’s bank account. |
Bank Name | Enter the name of the supplier’s bank. |
Sort Code | Enter the sort code for the supplier’s bank account. |
Acct Num | Enter the account number for the supplier’s bank account. |
Payment Ref | If the payments are going to a building society account, enter the building society reference here. |
BIC | If applicable, enter the BIC number for the supplier’s bank. A BIC (Bank Identifier Code) is used to advise a bank how to route payments to an overseas bank. You will normally find your bank’s BIC shown on your bank statement.
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IBAN | If applicable, enter the IBAN number for the supplier’s bank account. An IBAN (International Bank Account Number) is a standard format for accurately quoting bank account details when making international payments. You will normally find your accounts IBAN shown on your bank statement.
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6. Click Save, then click Yes then click Cancel.
Manually allocate to invoices | Double-click each item you want to allocate the payment against, then click Save. You should choose this option if you want to enter a discount, overpayment or underpayment.
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Automatically allocate to invoices (oldest first) | Automatically allocate the payment to the oldest outstanding invoices, then click OK then click Save. |
Leave payment to be allocated later | Leave the payment as a payment on account, without allocating it against any outstanding invoices then click OK. |
8.Click Cancel.
9. Repeat the above steps for all payments that you want generate using ePayments.
Alternatively, to send one payment, select the appropriate payment then click Send.
You've now successfully created the ePayments file and can import it into your banking software. For more information about how to do this, please contact your bank.
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