Table of Contents

Electronic Funds Transfer Configuration

How To Configure an SAP® Business One Bank Account

image802.jpeg

image803.jpeg

image804.jpeg

The TWBS Electronic Funds Transfer application comes with several EFT formats to choose from or you can design your own.

If you are unsure of the format that is required for your banking institution, please contact them and request a document outlined their required EFT format.

An EFT format selection is required before the bank configuration can continue.

image809.jpeg

image810.jpeg

File paths entered must be reachable by client workstations that will be using the EFT add-on.

Even if the Pre-note Required field was not selected, a Pre-note File Path must be specified.

The TWBS Electronic Funds Transfer is not responsible for any data transmissions to your banking institution. It is only responsible for the generation of data from the SAP® Business One system in the specified EFT format. Transmission of the transaction data files is solely the responsibility of the end customer.

OUTDATED

This configuration process should be repeated for each SAP® Business One account that will be used in.

image44.jpeg

How To Configure SAP® B1 Payment Methods for EFT

image817.jpeg

In order to process both Incoming (Customer payments) to you and Outgoing (Vendor payments to your vendors) EFT transactions, separate Incoming and Outgoing Bank Transfer Payment Methods will need to be created for each CountryBankAccount combination to be used for Electronic Funds Transferring.

If the Payment Type is Outgoing, this is the account from which the funds will be drawn for the transfer. If the Payment Type is Incoming, this is the account to which funds will be deposited.

Outgoing Payment Method Sample

image820.jpeg

Incoming Payment Method Sample

image821.jpeg

image44.jpeg

How To Configure Business Partner Banking Info

Bank account data for business partners is entered and maintained on the Payment Terms tab of the Business Partner Master Data form.

image823.jpeg

TWBS EFT does not control how Payment methods are assigned to invoices. Payment methods are assigned to invoices by the SAP Business One Payment Wizard.

The House Bank field is an optional SAP® Business One field. If it is used in versions prior to SAP® Business One 2005 SP1, it will override any bank associated with a payment method. For versions SAP® Business One 2005 SP1 and after, the House Bank field will no longer override the payment method bank.

image825.jpeg

If the Business Partners bank is not listed, click the SAP menu option titled Banks under the Administration image35.jpeg Setup image35.jpeg Banking menus to load the Banks - Setup screen. Once the bank setup has been completed, you can return to this step.

image827.jpeg

Any changes made to EFT data (DFI Transit Routing number, Account Type, or bank Account) on the Payment Terms tab will cause the activation date to be set to null. If pre-notes are required, this will result in the business partner becoming ineligible for EFT until they have once again been pre-noted and the pre-note grace period has passed.

image44.jpeg