A/P Create Payment Batch Screen

Overview

Use the A/P Create Payment Batch screen to:

The A/P Create Payment Batch screen generates payments for vendors according to their payment code. For vendors with no specific payment code, Accounts Payable creates checks only if a check-type payment code is specified as the default for Accounts Payable on the A/P Options screen.

For background information on creating payment batches, see About Creating Payment Batches Automatically.

Criteria Tab

Use this tab to specify payment selection criteria:

Exclusion Tab

Use this tab to list all vendors that you want to exclude from the payment batch.

Optional Fields Tab

Accounts Payable automatically inserts the payment optional fields and default values assigned to the payment selection code you specify for the payment batch.

You can add or delete payment optional fields for the batch you are creating, and you can accept or change the default values that appear on this tab.

When you create the batch, the program includes with each payment:

Rates Tab

You use this tab to change the exchange rates for the payment batch.

The default bank rate for the check currency and the vendor currency is based on the rate type and the session date.

Note: These rates are for converting the bank currency and/or the vendor currency to your functional currency. If either of these currencies is the functional currency, the exchange rate for that currency will be 1.0000000.

The rates you specify on this tab apply to the whole batch. If you need to change the rate for a few transactions, you can edit them using the A/P Payment Entry screen.

Select Tab

You use this tab to specify:

The tab also provides the date that the Pre-Check Register, was last printed, the date that the last manually entered check was printed, and the date that the last system check was printed, and it shows whether there are any unposted payment batches.