New Payment

New Payments screen is used to capture the payment details for receiving payments.

To enter new payment details:

Note: The fields available in this screen are configurable. Depending on the business requirement, you can add/remove fields in this screen to capture necessary details at the time of making payment. Click here to view the configuration steps required for adding or removing fields in New Payment screen.

  1. On the Receivables module, click New Payment.

  2. In the Party Type drop-down, select the party type as Customer, Operational Entity, or Partner.

  3. Select or Retrieve customer, operational entity, or partner details based on party type selection. The Name, Balance and pending bills details appear in the screen.

Note: Available credit balance is displayed only for external operational entities when Is Visible check box is selected in Layout screen.

  1. Enter Payment Date. By default, payment date shows the current date. The payment date cannot be a future date.

  2. Select any of the pay modes from the Payment Mode list box. The pay mode can be Cash, Check, Credit Card,  Debit Card, or Demand Draft.

  1. Generate Payment Request

  2. Process Payment Request

  3. Process Response Payment Request

  1. Select the Payment Towards from the drop-down to make payment towards the service availed.

  2. Select Collecting Entity from the drop-down. If any collection agents are available for the selected collecting entity, select agent name from Collected By field.

  3. Enter Receipt Number, Book Number, and Receipt Date.

  4. Enter Notes, if any.

  5. In Pending Bills tab, distribute the total paid amount and apply the amount against each invoice under Applied Amount column. After distribution, the left over amount (if any) automatically appears in Unapplied amount field.

  6. If you do not distribute the payment amount to any debit instrument, the total paid amount goes to Default Open Item Bin. Click the Open Items tab to view the available open item bins . You can enter amount against each open item bins under Applied Amount column to distribute the amount. After distribution, the left over amount (if any) automatically appears in Unapplied amount field.

  7. Click the Staging button to save the payment details in payment staging area for a temporary period. A payment number is generated against the payment details. You can view the payment details saved in staging in Pending Payment screen.

  8. Click the Save button to directly approve the payment details without staging . A payment number is generated against the payment details. You can view the approved payment details in View Payments screen.

  9. Click the Print Receipt button to generate receipt of the payment in a printable format.

Note:

For example: You can write your logic in the custom procedure to add two print options in the screen for generating:

i- Payment receipt with tax

ii- Payment receipt without tax