From the Payment Journal window, you can export payments to a file for upload to your electronic bank for processing of the related money transfers. For more information, see How to: Export Payments to a Bank File.
Note |
---|
The generic version of Microsoft Dynamics NAV supports the SEPA Credit Transfer format. In your country/region, other formats for electronic payments may be available. To enable export of a bank file formats that are not supported by the generic or local versions of Microsoft Dynamics NAV, you can use the Date Exchange Framework. For more information, see How to: Enable Import/Export of Bank or Payroll Files Using the Data Exchange Framework. |
Before you can process payment electronically by exporting payment files in the SEPA Credit Transfer format, you must perform the following setup steps:
-
Set up the bank account in question to handle the SEPA Credit Transfer format.
-
Set up vendor cards to process payments by exporting files in the SEPA Credit Transfer format.
-
Set up the related general journal batch to enable payment export from the Payment Journal window.
To set up a bank account for SEPA Credit Transfer
In the Search box, enter Bank Accounts, and then choose the related link.
Open the card of the bank account from which you will export payment files in the SEPA Credit Transfer format.
On the Transfer FastTab, in the Payment Export Format field, choose SEPADD.
In the Credit Transfer Msg. Nos. field, choose a number series from which numbers are assigned to SEPA credit transfer entries. For more information, see Credit Transfer Registers.
Make sure the IBAN field is filled.
Note |
---|
The Currency Code field must be set to EUR, because SEPA credit transfers can only be made in the EURO currency. |
To set up a vendor card for SEPA Credit Transfer
In the Search box, enter Vendors, and then choose the related link.
Open the card of the vendor whom you will pay electronically by export payment files in the SEPA Credit Transfer format.
On the Payment FastTab, in the Payment Method Code field, choose BANK.
In the Preferred Bank Account field, choose the bank to which the money will be transferred when it is processed by your electronic bank.
The value in the Preferred Bank Account field is copied to the Recipient Bank Account field in the Payment Journal window.
To set the payment journal up to export payment files
In the Search box, enter Payment Journals, and then choose the related link.
Open the payment journal that you use to process payments by exporting files in the SEPA Credit Transfer format.
In the Batch Name field, choose the drop-down button.
In the General Journal Batches window, on the Home tab, in the Manage group, choose Edit List.
On the line for the payment journal that you will use to export payments, select the Allow Payment Export check box.
Tip |
---|
For more information about how to work with fields and columns, see Work with Data. For more information about how to find specific pages, see Search. |