A/P Payments
- Creating a Manual Check
- Creating a Standard Draft
- Distributing Vendor Payments Manually
- Generating Automatic Payments
- Paying Finance Charges
- Posting A/P Wire Transactions
- Reversing a Posted Wire Payment
- Posting A/P Cash Payments
- Posting A/P Direct Debit Payments
- Posting to the A/P Distribution Journal
- Reconciling Bank Statements for Accounts Payable
- Preparing a Bank Reconciliation
- Preparing a Bank Reconciliation Using Transfer VAT
- Printing and Posting Checks
- Printing and Posting A/P Drafts
- Posting Remitted Drafts
- Example: Multi-Site AP Check Printing/Posting
- Using A/P Quick Payment Application to Reapply Open Payments
- Examples: A/P Quick Payment Application
- Using A/P Quick Payment Application to Enter and Apply Full and Partial Payments
- Using A/P Quick Payment Application to Enter and Distribute an Open Payment
- Voiding Checks Before They Are Posted
- Voiding Posted Checks
- Voiding Unposted Drafts
- Voiding Posted Drafts