Description
The report displays the information as a list only. The report displays the information as a list and converts it into astatement file and a line item file in MultiCash format. You can tell which type of file it is by the file name. Confirmationsof receipt follow the naming convention DUNN_ When the report lists the data from confirmations of receipt, it addsto the text of each line item the document number issued by thecollection agency. You can access a customer's or vendor's dunning databy positioning the cursor on the customer or vendor number and choosing For files of dunning interest and charges, the report displays theinformation as a list and creates a statement file and a line item filein MultiCash format. You can then import and process these files usingthe electronic bank statement functions. For customers' and vendors'interest and charges, the external transaction codes SE0, SE1/SE2, andSE3 are used. The codes must be assigned to the correct Required entries The day on which the report is to be run, usually the day's date. The house bank ID used for the collection agency. Your account number at the collection agency. The name of the file from the collection agency. Optional entries Reads the source file from the PC. If you do not select this option,the system reads the file from the server. Saves the statement data as a PC file. If you do not select thisoption, the system saves the data as a server file. The files that the statement data is to be saved in. If the source fileis a file of dunning interest and charges, you cannot change the nameproposed by the system. Output |