Define a Bank Account

You can define bank accounts (including account information, check layout defaults, and transmission file information) for asset accounts. You can edit this information at any time, but your changes are not retroactive. Once an account is defined, you cannot undo the action.

You can only define an account with no prior activity. If a GL account with prior activity should have been defined as a bank account, you must journal entry the balance, inactivate the account, and create a new account that can be defined.

  1. From the Home screen, do one of the following:
     

From any other area of the program, do one of the following:

  1. Click Accounting on the navigation panel or Areas > Accounting on the menubar.

  2. Click Chart of Accounts in the navigation panel.

  3. The chart of accounts displays in the list. Click a column heading to sort the list by that column.

Click the account to be defined and then do one of the following:

  1. Select the Vendor. The Vendor dropdown menu populates with all active vendor accounts defined in the system that have at least one agency in common with the GL account.

    Note: A vendor account must be associated to each bank account. If no corresponding vendor account has been added, close the Bank Account screen and add the vendor before reattempting the workflow.
  2. Select the Default agency.
  3. Enter the selected account's Bank account number.

    Note: MICR fonts are available for this field. Click here for more information.
  4. The next step differs, depending on whether the bank is located in the United States or Canada.
  5. If you will be sending payment transactions to the bank via electronic transmission file, select the appropriate service class to identify the transactions that will be sent. If you will not be sending transmission files, you may skip to step 12.
  6. Enter the Originator ID. This is a unique agency identifier provided by the bank.
  7. The Sequence ID # indicates the number that will be assigned to the next transmission file created for this bank account.
  8. In the Check Layout section, select the Print checks checkbox if the selected account is a checking account. Select EFT for electronic funds transfer.
  9. Select the Use system generated check numbers checkbox if applicable. If you select this checkbox, enter the Next available check #.
  10. Make the appropriate selections in the remaining dropdown menus to choose the check layout. For each entity type, you can select the system default, the system default with conditional areas, or any customized check layouts installed in your system.

    The
    System default is a basic layout option that contains the same data elements regardless of what the disbursement detail rows are applied to.

    The
    System default - Conditional areas option includes conditional detail sections triggered by the Apply to selection for the disbursement detail rows. These sections include supporting detail pulled from the items paid by the check. Click here for more information on the conditional detail areas.
  11. In the Transmission File Default Information section, select the Default receipt type that should be used to send payment transmission files for this bank account.
  12. Select a Receipt mapping to use when creating a transmission file for this bank account. (Options are filtered based on the Default type you selected in the previous step.)
  13. Choose your Default disbursement type.
      • BACS-DATA (used by UK banks): Bankers’ Automated Clearing Services
      • BACS-RBS (used by U.K. banks): Royal Bank of Scotland
      • CHAPS: (used by UK banks): Clearing House Automated Payment System
      • IAT: (used by UK banks): Inter-Account Transfer
      • NACHA: (used by U.S. banks): National Automated Clearing House Association  

    Select a Disbursement mapping to use when creating a transmission file for this bank account. (Options are filtered based on the Default type you selected in the previous step.)

  14. Click Finish to complete the workflow.

    Click Cancel or press [Esc] to close the Bank Account window without saving any changes.

See Also