Costpoint Help

Manage Remittance Addresses

Use this screen to set up all the remittance addresses your company uses.

For example, some of your customers have been directed to send payments to a bank drop box. First, you must set up the drop box address information here. Later, when you are setting up the project billing information, you can select that remittance ID. Once projects have been assigned a remittance ID, any modifications you make in this screen automatically take effect for all projects that use that remittance ID.

Set up this screen before entering project information and before calculating billings. If you need to modify the information in this screen, you must do it before the calculating the billing. Otherwise, you must recalculate the billing for the address modification to take place.


Related Topics:

Display the Manage Remittance Addresses Screen

You access the Manage Remittance Addresses screen from the Projects domain.

Contents of the Manage Remittance Addresses Screen

Use the fields and options to configure the Manage Remittance Addresses screen.

Table Information for the Manage Remittance Addresses Screen

Changes to the Manage Remittance Addresses screen update the BILL_REMIT_ADDR table.

Manage Remittance Addresses Screen FAQs

This section contains FAQs on the Manage Remittance Addresses screen.


Parent Topic:

Billing Controls