Create Auto Cash Payment
Explanation
This activity is used to create 
customer payments using the information from a loaded Bank Administration 
Institute(BAI) file. You can create a 
customer check payment or a mixed payment.  
Prerequisites
  - The payment transaction information in the BAI file
    that is used must have been validated and matched. 
- If any errors are identified in the 
validation and matching process, they must have been corrected before any customer 
payment can be created. 
System Effects
  - A payment voucher (function group 
B) or a mixed payment voucher (function group N) will be created in the system. 
- The status of all the invoices matched with the payment transaction information 
from the BAI file will be in the Paid/Posted or PartlyPaid/Posted. status.
- The payment transaction amounts that have not been matched with any open invoice 
will be created as a Payment on Account or as a Parked Payment.  
Window
Auto Cash
File Head
Related Window Descriptions
Auto Cash File Head 
Procedure
  - In the 
	 Auto Cash File Head window, select a loaded
    BAI file.
- Right-click and then click Create Customer Check
    Payment(s) if you want to create a check payment. This would open the Create Check
    Payment(s)  dialog
    box. You can click  OK to create a
    check payment immediately. Alternatively, you can click  Schedule to run the
    
	
    New Database Task Schedule to carry out the activity as a background job
    or to perform it daily at specific times or  on certain days of the
    week/month.
- Right-click and then click Create Mixed Payment(s) if
    you want to create a mixed payment. This would open the 
	Create
    Mixed Payment(s) dialog box. You can click  OK to create a mixed payment
    immediately. Alternatively, you can click  Schedule to run the 
	 New Database Task Schedule in order to carry out the activity as a background job, or to perform
    it daily at specific times or on certain days of the week/month.