2010 Jan 15 11:41 AM
Hi all,
I have Payment file like 'Cheque Payment File' , 'Cash Payment File' and so on...
current I am using my own program to have a Paymnet lot (Cheque Lot/Cash Lot) then posting the lot with Transaction FPB3.
But now I need to schedule my coming payment process means I have a file(for Cheque/Cash) and I want to post it to the respective Contract Account and internally it should also make a Payment Lot
Can any one help me out how can I achieve this so that I can obsolete the complete Manual Intervention.
Thanks
Rajeev.
Edited by: Rajeev Shrivastava on Jan 18, 2010 8:12 AM
Edited by: Rajeev Shrivastava on Jan 19, 2010 6:26 AM
Edited by: Rajeev Shrivastava on Jan 20, 2010 9:26 AM
Edited by: Rajeev Shrivastava on Jan 21, 2010 7:05 AM
2010 Jan 30 4:57 PM
Rajeev:
Within FPB3 - you can choose to schedule the posting as part of the file import process. Additionally, you can create a variant and schedule the program to run - you will need to use the file path and a consistent naming of the file.
regards,
bill.
2010 Jan 30 4:57 PM
Rajeev:
Within FPB3 - you can choose to schedule the posting as part of the file import process. Additionally, you can create a variant and schedule the program to run - you will need to use the file path and a consistent naming of the file.
regards,
bill.