5. Summary

This page lists all vendor accounts that have been processed and transaction line items on a payment. Accounts with a zero payment value are listed. If this is a check payment, there will be nothing in the Payment Reference column, indicating that a check was not created for these accounts. See Payments Plus - 5. Summary Fields for more details. The success email contains a link to the Payment Summary page.

During a successful Post and Match process:

  • The relevant transactions are posted and automatically matched.
  • If there is no outstanding balance, the status of the related source transaction line items becomes "Matched" and their outstanding values are updated accordingly (if there is an outstanding balance, the status will remain "Available").
  • The proposal's status changes to "Matched".
  • Journals are posted and matched to reflect any discounts and/or currency write-offs generated by the payment.
  • When you post transactions using accounts, bank accounts, expenses, products, and tax codes associated only with local GLAs, journals and cash entries are created using the local GLAs. At transaction level, the information is reflected in the transaction line items through the mappings between the corporate GLAs and the local GLAs.

You can cancel payments and use the error handling function to resubmit the Post & Match proposal or discard accounts.

See Payments Plus - 5. Summary Fields for details of the information displayed on this screen.