Making Vendor Payments with Wires

After you use your bank's wire system to pay vendors for AP vouchers, you create a vendor payment run in Vantagepoint to record the wire payments that your bank already made.

Prerequisites

The following sections identify the settings and data entry that you need to complete before you can process a wire vendor payment run in Cash Management > Vendor Payments.

Settings

The following are settings that you complete for banks, vendors, the vendor payment template, and automatic payment numbering.

Location in Vantagepoint Setting
Settings > Cash Management > Banks For banks that you use to make wire payments to vendors:

In the Wire Transfer Fee Debit section, enter information for wire transfers, such as the general ledger account for the

, the project for tracking wires, and whether to use an in-process account for wires.

Hubs > Firms For vendor-type firms that will receive wire payments:

In the Wires and Direct Debits section of the Vendor tab: enter the information for the vendor's bank that will receive the wire payments (bank ID, bank account ID, and so on).

Settings > Cash Management > Accounts Payable On the Payments tab, the format that you select in the Printed Payment Format field and the template that you enter in the Template field control what the vendor payments look like when you print any type of vendor payment using the Print Payments or Other Actions > Print File Copy actions on the Payments grid on the Printing and Numbering page in Vendor Payments. The printed payments for wires have "NON-NEGOTIABLE" printed on them. The file copies have "COPY" printed on them.
Settings > Accounting > Transactions In the Bank Transactions section, you can specify that the payment transactions for a bank be automatically numbered and enter a starting number to use for the next payments that are processed. You specify whether the auto numbering applies for all types of payments or only electronic payments.

When auto numbering is not turned on, you assign a starting number for each bank's payments in a vendor payment run by clicking Assign Numbers on the Printing and Numbering page in Vendor Payments.

AP Voucher Entry

When you enter AP vouchers in Transaction Center > Transaction Entry > AP Vouchers, if you want a voucher to be paid by a wire payment, you must select a bank for the voucher that has been set up to make wire payments, and the vendor for the voucher must be set up to receive wire payments. Refer to the settings in the table above.

Summary of Processing Wire Payments

The following help topics provide instructions for processing all types of vendor payments in Cash Management > Vendor Payments, including wire payments: