Vendor Remit To Settings
Access
Tabs: General,
Bank Details
Use this routine to specify one or more remit-to
addresses for a vendor, each with a specific bank identification, allowing
for approval of payments to addresses different from the vendor’s shipping
address. You can access this routine via a menu option or from within
the Vendor Settings via the Actions
button on the Payables tab.
If you access the read-only
version of this routine, you cannot edit fields on the screen. This
topic describes the entry version of the routine, but you can use it as
a reference for the read-only routine.
If using QuickBooks®,
you cannot create multiple payable remit-to addresses for vendors, and
the Check Print Bank field is inactive. If using STORIS’ generic TPA interface,
the Check Print Bank field is also inactive. If using STORIS
Accounting, all fields and features are available.
VendorEnter the code of the vendor
for which you want to enter remittance information. If you click on the
Actions button, the Vendor
Cross Reference window appears from which you can specify a vendor.
Remit To
General
TPA Vendor IDEnter the alternate vendor
number you want to use to identify the vendor on the TPA
system. When processing a vendor’s invoice, this ID overrides the ID specified
in the vendor record. This field is inactive if using QuickBooks®.
Additional NameEnter the additional name
(if any) you want to use for bank transmissions. You can enter up to 30
alphanumeric characters. For example, you can enter a DBA (doing business
as) name or a factor name.
The name you enter here prints on Forms Designer check forms (use the payment_to_additional_name
field) but not on STORIS standard checks. The name also exports
to the Chase
Positive Pay file.
Remit-To NameEnter the remit-to name.
CountryEnter the code of the country
in which the remit-to address resides. The country you enter must exist
in the Country file. If you click on the Search button, you access the
Country file from which you can make a selection.
Address Line 1, 2, 3Use these
three fields to enter the remittance address.
The following three field labels are "dynamic"
based on the masking settings in the Country
record. For example, if US is the designated country for the current vendor,
the first field below should be labeled "Zip Code". Canadian
vendors should display "Postal code". The default masks (from
the US record) appear below.
Zip CodeEnter
the zip code for the current remit-to address.
CityEnter the city for the current
remit-to address.
StateEnter the state for the current
remit-to address.
Email AddressEnter
an email address (if any) to associate with this vendor remit-to address.
This is a free-text field.
Bank
Details
Use this tab to specify payables information
including parameters for electronic funds
transfers (EFT). This tab is active only if using STORIS
Accounting.
Remit-To BankUse these optional fields
to enter additional information related to the current remittance address.
If present on an import purchase order, this information appears on the
IPI document.
Bank Information Line 1, 2, 3, 4Use these
optional fields to enter additional information related to the current
remittance address. If present on an import purchase order, this information
appears on the IPI
document.
Account Number
Account
Type
Routing NumberUse this
field to enter a bank routing number (also known as an ABA number) for
the remit-to bank. You can enter up to 9 characters. This field is required
for the NACHA EFT file format.
Financial Institution NumberEnter
the financial institution number (if any) of the payee bank you want to
associate with this remit-to address, using up to 3 digits. Use
this field with the Electronic
Funds Transfers (EFT) feature. This field is required
for the CPA005 EFT and CIBC EFT file formats.
Transit NumberEnter
the transit number, using up to 5 numeric digits. Use this field with
the Electronic
Funds Transfers (EFT) feature. This field is required for the CPA005
EFT and CIBC EFT file formats.
Check Print BankEnter
the check
print bank for this vendor remit-to address. The default check print
bank (if any) appears from the Vendor
Settings. You can override the default.
Payment Method