Connect Payment Type Groupings to Payment Institutes
Explanation
Use this activity to define which payment type groups are to be used for each
payment institute. For each payment type group, attributes will be specified
which will be used by the system when automatic matching is performed.
Prerequisites
Payment institutes and payment type groupings must exist.
System Effects
During automatic matching, system will consider the attributes specified per payment
type group to match cash and bank transactions.
Window
Payment Institutes
Related Window Descriptions
Payment Institutes, Matching Attributes
Procedure
To connect a new payment type grouping to a payment institute and define
attributes for the payment type grouping;
  - Open the 
	Payment Institutes window. Use either Query or
    Populate to find your payment institutes. Select a payment institute line,
    right-click and select Payment Type Groupings per Payment Institute.
 
  - The  Payment Type Groupings per Payment Institute window
    will be displayed. Create a new record and enter a payment type group by
    using List of Values.
 
  - Select the payment type group line you entered, right-click, and select Attributes
    for Auto Matching.
 
  - The Automatic Matching Attributes dialog box will be displayed. Select
    relevant attributes for the payment type group  that needs to be
    identical when cashbook transactions are automatically matched with bank
    statement transactions. 
 
  - Save the information.
 
To modify attributes specified for a payment type grouping;
  - Open the 
	Payment Institutes window. Use either Query or
    Populate to find your payment institutes. Select a payment institute line,
    right-click and select Payment Type Groupings per Payment Institute.
 
  - The  Payment Type Groupings per Payment Institute window
    will be displayed. Select the payment type grouping that you want to modify
    attributes, right-click, and select Attributes for Auto Matching.
 
  - The Automatic Matching Attributes dialog box will be displayed. Select
    relevant attributes for the payment type group that needs to be identical
    when cashbook transactions are automatically matched with bank statement
    transactions.
 
  - Save the information.