Modify Payment Types
Explanation
Use this activity to enter, change, and view payment types used by the company.
This mandatory task is to be performed by a system administrator or equivalent
person.
A payment type identifies the function that created the payment and the type
of operation to which the payment refers. Each payment type is linked to a payment
series. By linking different payment series for different types of payments,
you facilitate follow-up of various types of payment. The recommended minimum
number of payment series is two: one for customer payments and one for supplier
payments
The following payment types are created automatically when a company is created:
- Automatic Payment
 - Bad Debt Level Change
 - Cash Supplier Check
 - Complete Customer Payment Rollback
 - Complete General Payment Rollback
 - Complete Rollback of Customer Bill of Exchange
 - Complete Rollback of Customer Check
 - Complete Rollback of Supplier Bill of Exchange
 - Complete Supplier Payment Rollback
 - Customer Automatic Payment
 - Customer Bill of Exchange Cash Reversal
 - Customer BoE sent for cashing before due date
 - Customer BoE sent for cashing on due date
 - Customre BoE Payment
 - Customer Check Cashing
 - Customer Check Payment
 - Customer Ledger Item Reposting
 - Customer Ledger Item Reposting Rollback
 - Customer Offset
 - Customer Payment
 - Customer Reciept Payment
 - Customer Repayment Check
 - Customer Repayment Check Cashing
 - Customer Tax Withholding
 - General Payment
 - Netting Customer Payment
 - Netting Supplier Payment
 - Partial Customer Payment Rollback
 - Partial Supplier Payment Rollback
 - Rollback of Cashed Customer Repayment Check
 - Rollback of Cashed Supplier Check
 - Rollback of Voided Customer Repayment Check
 - Rollback of Voided Supplier Check
 - Settle Customer Bill of Exchange
 - Status Change Rollback
 - Status Change to Bad Debt
 - Status Change to Normal
 - Supplier Bill of Exchange Payment
 - Supplier Check Payment
 - Supplier Ledger Item Reposting
 - Supplier Ledger Item Reposting Rollback
 - Supplier Offset
 - Supplier Payment
 - Supplier Tax Withholding
 - Void Check
 - Void Customer Repayment Check
 
Prerequisites
This activity has the following prerequisites:
- IFS/Payment must be installed.
 
System Effects
As a result of this activity:
- The payment transaction can be identified.
 - Linking different payment series for different types of payments facilitates
follow-up of various types of payment.