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Use the Bank Account Maintenance screen to create and edit Bank Accounts.

Pre-Requisites

  1. Companies

  2. Vendors

Create Bank Accounts

  1. Master > Miscellaneous > Bank Accounts

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  1. Click Add.

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  1. Select a Company Code option under the Bank Account Detail tab

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  1. Specify a Bank Account Code value. For example: WF 01

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  1. Specify a Short Name value. For example: US BANK Check

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  1. Select a Vendor option.
    Note: The Vendor must have a Vendor Type of BANK assigned to them to appear in this drop-down listing.

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  1. Specify an Account Number value. For example: 012365742

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  1. Specify a Bank Name value. For example: US Bank

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  1. Select a Bank Currency option.

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  1. Select a Check Format option.
    Refer to the Check Format article for further information. 

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11. Specify a City value. For example: San Diego

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  1. Select a State option.

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  1. Specify a Zip Code value. For example: 91911

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  1. Specify a Last Check No. value. For example: 100

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  1. Specify a Route No. value. For example: 32282603

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  1. Optional: Specify Corporate Bank information.

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  1. Select a Balance G/L account value. This will be the G/L account the Cash activity is posted to.

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17. Select an On Account Pymt account option. This will be the G/L account that is used when funds are placed On Account within the Cash Application process. A credit to the Un-Applied Pymt account, a debit to the On Account Pymt account.

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  1. Select an Un-Applied Pymt account option. This will be the G/L account that is used when creating a Bank Deposit. A credit to the Balance account, a debit to the Un-Applied Pymt account.

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  1. Click the Positive Pay tab.

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  1. Select a Positive Pay Format option.
    If you are not using Positive Pay, select any option.

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  1. Click Save

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