This activity is used to perform the payment matching for all items and, to check all items included in a specific load ID that have not been matched and checked automatically while loading. If an error is found in any line, a message appears in the Error field for that specific line. All lines within one load must be correct, before the load ID can be transferred to a mixed payment.
By using this activity, those payments can be matched for which matching identifiers are generally used. E.g. customer payments included in a bank statement of an account file will have the payment format MT940NLABN. The payments can be matched with customer invoices and issued check items, which can be supplier check items or customer repayment check items. The payment matching can also be used to complete a direct cash payment automatically by using the pseudo code identifier type. When a pseudo code is found in the file according to the matching identifier, the code string, text and process code of the pseudo code are applied to the manual posting of a direct cash transaction. The manual posting is updated by the matching also for direct cash transactions for which the manual posting was manually changed. In this case you should use the matching function of the other transactions only for the selected items.
The matching identifiers will be disregarded for an external payment transaction,
Even though the matching for the payments is not performed, the transactions are checked, and errors and/or warning messages are displayed.
In order to perform this activity, a load ID must have been entered in the External Payments window.
As a result of this activity,
External Payment Details
External Payments
Matching Details
External Payments Deduction Details
To match and check all items:
To show matching details:
To show deduction details: