Checklist: Processing AP Checks and EFT Payments
Follow this checklist to understand the process to generate accounts payable checks and EFT payments.
Before you process checks and electronic funds transfer (EFT) payments for accounts payable vouchers in
, you must set up the following:- Default payment terms for each vendor in the Firms hub.
- Liability codes, vendor codes, discount codes, check templates, and more in .
AP Checks and EFT Payments Processing Checklist
Step | Description |
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1 | Enter new vendors in the Firms hub. Be sure to complete the fields on the Vendor tab. |
2 | To pay vendors by electronic funds transfer (EFT), complete the following setup information:
|
3 | To run a test direct deposit for vendors to be paid by EFT:
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4 | Enter new AP vouchers in
Alternatively, you can enter AP disbursements in Transaction Entry that allow you to enter and pay AP vouchers in one step. |
that will be paid later in the AP Payment Processing application.
5 | In | review the remaining unpaid AP vouchers in the grid on the Voucher Selection page of the Vendor Payments form. Or, view the Voucher Schedule report in .
6 | In AP Payment Processing review the Cash Requirements report. |
7 | On the Vendor Review tab in AP Payment Processing, modify data for the vendor address, payment date, or bank as necessary. Release, hold, or modify any vouchers that remain unpaid.
You must complete this step before you process payments. |
8 | To process both check and EFT payments, select an existing run or create a new run in AP Payment Processing. |
9 | Process payments by either of these procedures:
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10 | If vendors are set up to be paid electronically by EFT, they are included in the payment processing run with paper check payments. To put them in a different run, you must select from the EFT options on the General tab on the AP Payment Processing form.
Checks for EFT payments have "NON-NEGOTIABLE" printed on them. |
11 | Preview checks before printing them to verify that they are correct. |
12 | Print the checks.
If you create a text (.txt) file, this step is not necessary. Continue by assigning check numbers. |
13 | Review the checks that are printed in the run. |
14 | Assign check numbers. |
15 | If applicable, use the Export to Text option to create a .txt file. |
16 | Print a file copy of the checks, if necessary. |
17 | Post payments. |
18 | If a posted AP payment run includes vendors who are paid electronically, finish the EFT procedure. To do this, select
Process option on the Accounts Payable Electronic Funds Transfer Processing Form to:
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, and use the