Overview
You can create a single Cash Disbursement Batch Payment for multiple Payable records by simply selecting the Payables from the Payable list view.
Create a Batch Payment Payable
- Navigate to Accounting Home and under Cash Out click Payables (Vendor Invoices).
- Select the Ready For Payment list view. This will show all open and posted payables.
- Select all payables or just the ones you would like to pay.
- Click the Pay Batch button.
Note: Click here to view the above image in full screen. - The bank account will default to the bank account set up in Accounting Settings. Change this as necessary and change the type as needed.
Note: If the check type is selected, the starting check number will automatically populate based upon the highest check number recorded against the Bank GL Account. - Verify that everything is correct.
Note: If the Payees include 1099 Vendors, the 1099 information defaults from the Account or Contact records. From the Pay Batch intermediate screen, the Form 1099 Type and Form 1099 Box can be updated, if necessary. - Follow one of the two below processes:
- Click Create to create the Cash Disbursements. This will create the records, but not post them to the ledger. These can be posted in a batch later from the cash disbursement batch screen.
- Click Create & Post to both create the Cash Disbursements and post them to the ledger. This is the recommended process if the Scheduled Post job has not been set up,. so that a user doesn’t forget to post these records after printing the checks. Cash Disbursements can always be unposted and edited as necessary.
Best Practice: It is recommended to have the daily Scheduled Post job created in Accounting Settings, which provides the ability for all Cash Disbursements that have a posting status of “Approved” to automatically post based upon the Next Run Date and Preferred Start Time.
Note: When you batch post a Cash Disbursement Batch that has more than 200 Cash Disbursement records included, a message displays to indicate that the records will be processed asynchronously. This is a form of timing protocol for the system to begin an operation once another one has completed. The below message will display for Batch Post or Batch Unpost.
- If the type of check was selected, these Cash Disbursements can be printed in batch by clicking the Print Checks button. A PDF will be generated in the format of stub-check-stub.
- The check stub supports up to 10 lines of detail for each payable. If a check relates to more than 10 payables, then click the Print Full Remittance button to show all related payables.
Notes:
- You can make your own custom list views to pay payables.
- Custom or standard fields can be added, reordered, or removed via the field set on the Cash Disbursement.
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- The Pay Batch screen is available in the Lightning UI.
- For 1099 Vendors, the Form 1099 Type and Form 1099 Box can be updated, if necessary.
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- Asynchronous Batch Posting for Cash Disbursement batches is now available for batches with over 200 payable records. Asynchronous is a form of timing protocol for a computer to begin an operation once another one has completed.
- The Scheduled Post job allows you to schedule an unattended background program to execute the automatic postings of records after business hours, overnight, or any desired time.
Comments
4 comments
Cash Disbursement Batch names are defaulting to a US date format. Is there a way to change that default?
Hi Sophie,
Thank you for pointing this out, I have put in a product enhancement request for this issue so that the system looks at the locale format.
Thank you,
Ryan
This might not be the correct place for this but I feel like a glossary of errors would be extremely helpful for admins when troubleshooting issues with accounting seed. As an example when I try to complete this process I receive the error "Error: You cannot edit the amount field if the cash disbursement is sourced from account payable records". It's difficult to troubleshoot when you can't look directly at rule criteria for firing that error and we're not (as far as I can tell) directly editing the amount of a batch payable. If you were able to include the errors for each process which appear to be built in apex it would be a huge help.
Hi Scott,
Do you have any processes that are trying to update the amount on the cash disbursement? This error is telling you that the amount on the cash disbursement cannot be updated if it is related to a payable. If you update your process so it only fires if the cash disbursement is type “manual” you should able to avoid this error.
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