To Post Payment
Last updated
Last updated
Step 1: Accessing the Payment Posting Page
Navigate to the "To Post Payment" section. This section is found under "Invoicing/AR".
Step 2: Selecting the Payment Batch
On the payment posting page, locate the section where payment batches are listed.
Choose the specific payment batch that you want to post by checking the corresponding checkbox next to it.
Step 3: Verifying Check/Batch Total
Ensure that the running total of the payment batch matches the check/batch total displayed on the page.
If the totals do not match, carefully review the figures entered for accuracy. Check if any discrepancies exist, such as unused money or incorrect total amount.
Step 4: Posting the Payments
Once you have verified that the check/batch total matches the running total, click the "Post Checked" button.
The system will process the payment batch, and the payments will be posted.
The journal Entry will also be generated
This action will update the balances on invoices and aging reports.
Congratulations! You have successfully posted the payments.