Electronic Funds Transfer Screens
EFT Bank Setup Wizard
TWBS Electronic Funds Transfer creates a series of Wizard screens that provides the ability to configure the electronic funds transfer information for each SAP® Business One bank account that needs to be formatted for EFT processing.
Click the SAP menu option titled
TWBS EFT Bank Setup Wizard under the
Administration
Setup
Banking menus to load the
TWBS EFT Bank Setup Wizard screen.
Wizard Intro Screen
Wizard Step 1
Country - The country of the SAP® Business One checking account for EFT configuration.
Bank - The bank of the SAP® Business One checking account for EFT configuration.
Account - The account number of the SAP® Business One checking account for EFT configuration.
Cancel button - Cancels the bank setup process and closes the wizard.
Back button - Moves to the previous screen in the bank setup process.
Next button - Moves to the next screen in the bank setup process.
Wizard Step 2
Edit Format button - Initiates the process of editing a custom EFT format.
Copy Format button - Initiates the process of copying a n EFT format (either pre installed or custom) to a new custom EFT format.
Remove Format button - Removes a custom format from TWBS Electronic Funds Transfer.
Pre-installed EFT formats cannot be edited. To edit a pre-installed format, the format must first be copied and then given a custom name.
Pre installed EFT formats cannot be removed. Only custom created formats can be removed from the system.
The Block Fill Character can only be specified as a single character. Multiple characters cannot be used.
Cancel button - Cancels the bank setup process and closes the wizard.
Back button - Moves to the previous screen in the bank setup process.
Next button - Moves to the next screen in the bank setup process.
Wizard Step 3
The fields to be completed on Step 3 of the EFT Bank Setup will vary according to the EFT format specified in Step 2. Any fields in the EFT format file designated as an Entry Field will appear on this screen.
Cancel button - Cancels the bank setup process and closes the wizard.
Back button - Moves to the previous screen in the bank setup process.
Next button - Moves to the next screen in the bank setup process.
Wizard Step 4
Prenote File path - Designates the network file path that will be used to store the generated pre-note files.
Transactions File path - Designates the network file path that will be used to store the generated transaction files.
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.
Outgoing Payment Report - Designates the APP report that will be used to generate outgoing EFT payment remittances.
Incoming Payment Report - Designates the APP report that will be used to generate incoming EFT payment remittances.
All delivery setup and administration is performed through the APP Reports Maintenance screen.
Cancel button - Cancels the bank setup process and closes the wizard.
Back button - Moves to the previous screen in the bank setup process.
Next button - Moves to the next screen in the bank setup process.
EFT Format Maintenance Screen
TWBS Electronic Funds Transfer creates a screen through the SAP® Business One User Interface (UI) that provides the ability to modify the record types and record type lengths included in the EFT file format for EFT processing in SAP® Business One.
The Rec. Code column value will be automatically assigned on the selection of the Record Type field.
When copying an existing EFT file format, the Record Type values will be automatically populated with the values for the EFT file format being used as a copying template. Record Type values can be added or deleted as needed.
The Max. Length column value is used on the EFT File Maintenance screen when editing and saving an EFT file format. All Record Type entries on the EFT File Maintenance screen must add up to the number of characters specified in the Max. Length column.
When copying an existing EFT file format, the Order # value will be assigned in the way that it was populated for the EFT file format being used as a copying template.
Save and Continue button - Saves the EFT file format record type information and opens the EFT File Maintenance screen.
Cancel button - Cancels the EFT file format creation process and closes the form.
EFT File Maintenance Screen
TWBS Electronic Funds Transfer creates a screen through the SAP® Business One User Interface (UI) that provides the ability to modify the details of the record type lines for an EFT file format for EFT processing in SAP® Business One.
The Record Type column values available for selection will be dependent on the information entered for the EFT file format on the EFT Format Maintenance screen.
Description column - The description of the EFT format field.
Source column - The data source of the EFT format field of the new EFT format.
Blank - The value will consist of blank (empty) spaces.
Constant - The value will consist of a constant hard-coded value specified in the Value column.
Data Field - The value will be obtained from another database field specified in the Table and Field columns.
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System Field - The value will be obtained from the system based on the value specified in the Data Type column.
Transferred Field - The value will be obtained from another record field specified in the TransferredRecordName and TransferredFieldName columns.
Required column - Indicates if the EFT format field is required.
Mandatory - The data record is mandatory.
Optional - The data record is optional.
Required - The data record is required.
Data Type column - The data type of the EFT format field.
Length column - The length in characters of the EFT format field.
All Record Type entries on the EFT File Maintenance screen must add up to the number of characters specified in the Max. Length column of the EFT Format Maintenance screen.
The StartColumn value will be calculated automatically and may change based upon changes to the Length or Record Type columns.
Table column – The table from which the value of the EFT format field will be obtained. This column is used in conjunction with the Data Field and Entry Field Data Source values.
Field column – The field of the Table from which the value of the EFT format field will be obtained. This column is used in conjunction with the Data Field and Entry Field Data Source values.
If using the Entry Field Data Source value, the Table should be specified as @TWBS_EFT_VALUES and the Field should be specified as U_Value.
If using the Data Field Data Source value, the Field can be either a basic table field or a user defined field.
TransferredRecordName column – The Record Type of the field from which the value of the EFT format field will be obtained. This column is used in conjunction with the Transferred Field Data Source value.
TransferredFieldName column – The Description of the field from which the value of the EFT format field will be obtained. This column is used in conjunction with the Transferred Field Data Source value.
Back button - Returns to the EFT Format Maintenance screen without saving the EFT file format information.
Save and Continue button - Saves the EFT file format information.
Cancel button - Cancels the EFT file format creation process and closes the form.
EFT Prenote Generation Screen
TWBS Electronic Funds Transfer creates a screen through the SAP® Business One User Interface (UI) that provides the ability to generate pre-notes to be submitted to your banking institution for data and format verification.
Country – The country of the SAP® Business One checking account for EFT pre-note generation..
Bank – The bank of the SAP® Business One checking account for EFT pre-note generation..
Account – The account number of the SAP® Business One checking account for EFT pre-note generation..
The Country, Bank, and Account selected for pre-note generation should already have been configured. For more information on this process, refer to the How To Configure an SAP® Business One Bank Account section of the user guide.
Ok button – Closes the form.
Create Pre-note button – Initiates the generation of the pre-note file.
Recreate Pre-note button – Initiates the re-generation of the pre note file in cases of modifications.