Accounting Finance:Void Payments-Working with AP Void Payments
(Redirected from Accounting Finance:A/P Transactions-Working with Void Payments)
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Overview
By the end of this course, you will be able to:
- Understand how to VOID a payment and reverse documents applied to payment
Voiding Vendor Transfer Payments
- 1. Select ASW Fastpath
- 2. Select Cash Management
- 3. Select A/P Cash Management Tasks
- 4. Select A/P Payment Tasks
- 5. Select Enter financial transactions
- 6. Enter Voucher type 45 (A/P manual/void payment)
- 7. Enter Batch amount (enter as a positive)
- 8. Select User template
- 9. Change A/P payment entry (default is VOD)
- 10. Press Enter
- 11. Press Enter again
- 12. Enter Document type VOD
- 13. Enter Document number (cheque #)
- 14. Enter Document date (date on cheque)
- 15. Enter Supplier number
- 16. Enter Transaction amount (net amount after discounts have been taken off)
- 17. Enter Text (enter full document #)
- 18. Press Enter
- 19. Enter Bank (default is 001 – main operating line)
- 20. Enter Transaction ref (cheque #)
- 21. Enter Reason code AP05
- 22. Enter Text (enter full document #)
- 23. Press Enter
- 24. Select Reverse settlement OR F8
- 25 .Press Enter
- 26. Highlight payment to VOID
- 27. Press Enter
- 28. Highlight transactions to re-open
DO NOT mark the CHQ payments or CAD discounts
- 29. Select Reverse selected entries to reverse OR F10
- 30. Click Settlement differences
- 31. Enter the amount of the CAD A/P cash discount as a negative amount
- 32. Press Enter
- 33. Select Update to complete selection
- 34. Enter another VOID payment OR
- 35. Press F12 to move back to previous panel
- 36. Press F3
- 37. Mark Close batch
- 38. Change Printer queue to LP05
- 39. Press Enter
- 40. Press Enter to confirm