applies-to:Create Vendor Payments
Overview
The first step in the Vendor Payments process is to create a Vendor Payment.
- You can create a Vendor Payment manually
- Mass Create Vendor Payments on the Purchase Invoice List from the Purchase Invoice List.
- Create Vendor Payment for a Purchase Invoice
Create a Vendor Payment
Navigate to the Vendor Payment tab, then click New.
- Enter the Pay-to Vendor.
- Enter a Document No. Read Document No. on Vendor Payments for more information.
- Leave the Amount of the payment as 0.
- GoldFinch will populate this field automatically after you save the applications of the Vendor Payment.
- You can enter a specific amount if you know prior to the application.
- Enter the Document Date of the payment.
- Update the Bank Account.
- Update the Payment Method.
- Update the Payment Type.
- Update the Description. It will be copied to the GL Entry’s Description field for future reconciliation purposes.
- GoldFinch defaults the Vendor Payment Batch to the last batch with the same Bank Account, Currency Code, GL Ledger and the same Created Date.
- If you update Bank Account, Currency Code, or GL Ledger on the Vendor Payment, GoldFinch will automatically update the Vendor Payment Batch field.
- If there is no Vendor Payment Batch with the same Bank Account, Currency Code, GL Ledger, and Created Date = Today, GoldFinch will create a new Vendor Payment Batch with today’s date.
- Read Vendor Payment Batch for more information.
Once the Vendor Payment information has been entered, click Save to save the payment.
- You can then Applying Vendor Payments.
- If the Payment Method is Check, you want to Print Checks and Remittances.
- Posting Vendor Payments and Applications
You can choose to Save and Post the vendor payment then apply later, if it is not a check payment.
Additional Information
- You can use General Journals to record miscellaneous cash disbursements without setting up a Vendor account and posting through Accounts Payable.
- You can clone a Vendor Payment to create a new one to save time. GoldFinch defaults the Payment Batch to the last open batch for the same Bank Account, Currency Code, GL Ledger, and Created Date = Today.
- You must unapply a Vendor Payment before you can unpost it.
- You can enter a negative Vendor Payment, with Payment Type = Vendor Refund, and apply it to Purchase Credit Memos and Purchase Invoices.
- Are you required to withhold a certain % of vendor payment? Read Posting Vendor Withholding Tax for more details.
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