Create Payments
Use this form to create supplier payments using the current selection. When you create payments, Greentree:
- Creates payment transactions for suppliers that have been selected for payment using the Select Payments form.
- Updates each supplier's account with payment transaction details.
- Where applicable, deducts withholding tax from the payment transactions.
- Updates the supplier's local currency value for suppliers being paid in a foreign currency, by using the exchange rate specified in the header of the payment batch.
- Updates the bank account balance. Update analysis code details, for analysis.
Options Reference
Each option and field on the form is described below. Mandatory options and fields are highlighted in red.
Payment log
Enter a unique reference to identify the payment run, for example, date/payment code, up to 10 characters long.
Description
Enter a description to identify the payment run, up to 30 characters long.
Selection
Select the Payment Log to be processed.
Payment Type
Select either Cheques, Direct credits, BPay or All as the payment type. The system creates payments based on this option. For example, if Cheques is selected, only cheque payments will be created. Each supplier is specified as being either a BPay, cheque or direct credit supplier using Supplier Maintenance.
Cheque Output Order
Select your preferred output order for cheque payments: Code, Alpha, or Name order (based on supplier).
The AP Batch
Edit Listing will list payment transactions using the sort option
selected here.
All branches
Select this option to include all branches in the payment run. If you don't select this option, you can enter a range of branches, and only suppliers belonging to a branch in the range is included in the payment process (even if they have been previously selected using the Select Payments process).
Batch header branch
The default value is the branch specified in Accounts Payable Module Control, but you can change it if the payment batch is related to a different branch.
Bank
This is taken from the bank specified in CM Module Control, but you can change it if the payment is being made from a different bank.
Cheque date
The date that appears on the cheque. The default value is today's date. You can change the date if necessary.
Posting date
The default value is the cheque date, but you can change it . It is the date that determines which period the transaction falls into for reporting purposes.
Currencies
Select the currency you want to make the payments in. Only suppliers with this currency code are included in the payment process, even if they have been previously selected using the Select Payments process. This is taken from Accounts Payable Module Control.
The Rate uses the currency that is selected. The Bank currency/Rate defaults in read-only format to the bank to transaction exchange rate.
Process
Click this button to create supplier payments using the criteria and options selected. If an earlier payment run is recalled using the Create Payments form, this button changes to Details, and the details of the payment run can be viewed.
Notes:
- For suppliers that have a Pay invoice separately requirement, Greentree creates a separate payment for each outstanding invoice, so multiple payments will be created for those suppliers where they have more than one outstanding invoice.
- If the value of a payment is less than the minimum value specified in Accounts Payable Module Control, the payment will not be created.
- If the cheque amount wording of the payment exceeds the maximum cheque amount in words limit specified in Accounts Payable Module Control, the cheque payment will not be created.
- If an alternate payment name and/or address is specified for the supplier, it is used in this process. Otherwise, the supplier's name and address are used.