Payment Review Screen

Tabs:  General, Detail

Use this screen to view additional information on payments made (if any) on a selected AP bill.  This option is available only if payments have been made for the AP bill. You access this screen via the Actions button on the Check Information tab in the Enter/Update Individual Vendor Invoice routine.  The screen displays the date, method of payment, reference, and amount of any payments made on the bill.

 If you select the Toggle Currency option before you choose the View Payments option on the Enter/Update Individual Vendor Invoice screen, the payments display in domestic currency.

This is a read-only screen. The following is documentation for the entry version of this routine. It appears here for reference purposes only.

This screen can contain multiple payment types including

You can also use this routine to inquire on printed payments and, when called from the Check Approval process, maintenance for payments not yet printed including the following:

Header Area

Reference

Vendor

General

The General tab contains the following display-only fields:

Bank

Method

Date

Amount

Reference

Status

Status Date

Vendor

Remit-to

Exchange Rate

Detail

This tab displays a grid of AP bills included in the payment, as well as the following fields:  

Bill

Type

Open Amount

Discount

Terms Date

Take Discount

Approved

Discount

Balance Due

 You can use this process to create separate checks for the vendor when you access via the Select and Approve Bills for Payment process for a pending check run.  By selecting a single bill and pressing the Remove button, you generate a separate check when you Save and return to the Check Review tab of the Select and Approve Bills for Payment process.  The program combines all bills removed in the session into a single separate check.  Likewise, you can merge bills that have been split for separate checks into the current check.