Compartir a través de


Payment Registration Setup Window

Specifies how payments are processed in the Payment Registration window, including which journal to post through and which balancing account to post to.

Options

Field Description

Journal Template Name

Specifies the type, such as PAYMENT, of the journal that payments are posted with. For more information, see General Journal Templates.

Journal Batch Name

Specifies the subtype, such as PMT REG, of the journal that payments are posted with. For more information, see General Journal Batches.

The contents of the field determine which balancing account type and number are automatically populated in the Bal. Account Type and Bal. Account No. fields.

The value in the Bal. Account Type field is either Bank Account or G/L Account.

Bal. Account No.

Specifies in which balancing account a balancing entry is created for each payment that is posted.

Use This Account as Def.

Specifies if you want the selected balancing account to be used every time that the Payment Registration window is opened.

If the check box is not selected, then you will be reminded to select a balancing account every time that you open the Payment Registration window. This may be relevant, for example, if you want to register different types of payments on different balancing accounts.

Automatically Fill Date Received

Specifies is the work date is automatically filled in the Date Received field when you begin to enter payment information on a line in the Payment Registration window.

Tip

For more information on how to navigate in the user interface, see Work with Microsoft Dynamics NAV. For assistance in finding specific pages, see Search.

See Also

Reference

Payment Registration
Balancing Account Setup

Other Resources

How to: Set Up Payment Processing