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On the tab, press CTRL+N to create a new line, and enter an appropriate identifier, for example, Check, in the field.
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In the field, select the period for which invoices in automatic payment proposals are combined:
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– One payment transfer is created for each invoice.
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– All invoices for a vendor (or customer) that have the same due date are combined.
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– All invoices for a vendor (or customer) that have a due date in the same week are combined.
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– All invoices for a vendor (or customer) are combined into one payment.
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In the field, enter a name or short description for the method of payment.
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In the field, enter, if applicable, the number of days in which the customer is allowed a cash discount after the specified period.
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In the field, select the payment status that must be fulfilled to post a payment that is assigned this method of payment. For a method that uses checks, the status is often or .
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Click the tab. In the field, select the export format for this method of payment.
Note If the field list is empty, click , and select from the available formats.