Create and export vendor payments using ISO20022 payment format
Complete the following steps to create payment lines in the vendor payment journal and generate a vendor payment file using ISO2022 Credit transfer example.
- Go to Accounts payable > Payments > Payment journal and select New.
- In the Name field, enter or select a value.
- Select Lines > Payment proposal > Create payment proposal.
- Expand the Records to include section and select Filter.
- In the list, select the row for the Vendors table and Vendor account field.
- In the Criteria field, enter or select a value. You can apply any criteria for selecting vendor transactions to pay.
- Select OK and select OK again.
- Select Create payments.
- Select Generate payments to generate the ISO20022 payment file.
- In the Method of payment field, enter or select a value.
- In the File name field, enter a value. ISO20022 credit transfer as well as other vendor payment formats can be used to generate payments in other currencies.
- In the Bank account field, enter or select a value.