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This page explains how to use the BACS/ABA & Cheque Run.
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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- This screen will attempt to pay everything that is outstanding; however, there may be instances where this is not desirable, for example: supplier invoices may only be processed on a certain day of the week
- From the above screen, click the red X next to the supplier totals to remove all payments with that type; specific lines can also be removed by un-ticking the item (on left of line)
- Before the BACS/ABA file and cheques are prepared, a report can be run to ensure that the figures are correct before posting, click Print (top right) and select Excel Report
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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. - With the BACS/ABA and Cheque Run screen still open, click Prepare, then click Prepare BACS/ABA file to create the actual file
- Once the file has been created, supplier remittances can then be sent; click the highlighted option now available
- If you have paid the agent, you will now be able to produce the Agent Remittance using the steps below
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3. Agent remittance Once the payment is created via the Prepare BACS/ABA and Cheque screen: - The option to Print agent remittance details will become available
- Click this link and select Excel Report
- See 3a for information on the Excel Report produced
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3a. Agent Remittance Excel Report - The first sheet in the Excel workbook is a PivotTable, the PivotTable Field List can be used to display the data in varying ways
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