This guide has been reviewed against our global client base and classed as relevant to the following regions: UK, APAC, UAE
This page explains how to use the BACS/ABA & Cheque Run.
Terminology
BACS - UK
ABA - Australia
From the main menu, click Lettings/Rentals, select Daily Accounts Processes and select BACS/ABA & Cheque Run option:
1. BACS/ABA and Cheque Run screen
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2. Creating a BACS/ABA Export File Once the amounts have been checked, the BACS/ABA file should be created and any manual cheques produced.
The first time this process is run, you will be asked for a location to save the file, create a folder where you wish to store the BACSFILES/ABAFILES and click OK Once created, the option to view the file is available - the file can now be used for uploading to a banking system | |
3. Agent remittance Once the payment is created via the Prepare BACS/ABA and Cheque screen:
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4. Payment report The breakdown report should be saved for audit purposes. To produce this, click Print and Yes to preview the report. If you forget, this report can be accessed from Reporting & Analysis, and under View Payments. |
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