Acknowledge Payment
Explanation
This activity is used to acknowledge the transfer of payment files. This is 
normally done by the finance administrator. The transactions in the transfer 
file which are acknowledged as paid will be changed from Transferred to 
Paid status in the 
Employee Payments 
window. If there are incomplete transactions which are not paid, they 
will be cancelled and a copy will be created with Correction status in 
the Employee Payments window. You can do the necessary changes 
on the transaction with Correction status and re-transfer the payment file.
Prerequisites
In order to acknowledge payments, the file containing the payment transactions 
is required to have been already transferred to a payment 
institute.
System Effects
As a result of this activity;
	- A voucher is created in IFS/Accounting Rules for 
	the transactions which are acknowledged and the status of the transactions 
	is changed to Paid in the Employee Payments window.
- If there are transactions which are not 
	acknowledged, the status of the transactions is changed to Cancelled 
	in the Employee Payments window. The duplicates of the 
	cancelled transactions will be created with Correction status.
Window
 Employee
Payments
Related Window Descriptions
Employee Payments
Acknowledge Payment
Procedure
	- Open the Employee Payments window and 
	query or populate to find the required transactions.
- Select the payment that you want to acknowledge, 
	right click and click Acknowledge Payment to open the 
	
	Acknowledge Payment dialog box.
- If required, change the payment date, user group and 
	voucher type.
- The payment transactions included in the payment 
	file are listed in the table. You can clear the Paid check box for 
	the payment transactions which are not paid.
- Click OK to acknowledge the payment.