documentation/content/applications/finance/accounting/payments/batch.md
2025-02-27 18:56:07 +07:00

2.5 KiB

Batch payments by bank deposit

A batch deposit is a convenient way to group customer payments and deposit them into your bank account. The feature lets you list multiple payments and generate a detailed deposit slip with a batch reference. This reference can be used when reconciling to match bank statement lines with transactions in the batch deposit.

Configuration

Go to {menuselection}Accounting --> Configuration --> Settings --> Customer Payments and tick {guilabel}Batch Payments to activate the feature.

Deposit multiple payments in batch

(batch-payments-register-payments)=

Register payments

Before performing a batch deposit, it is necessary to register each transaction's payment. To do so, open the corresponding customer invoice and click {guilabel}Register Payment. In the pop-up window, select the {guilabel}Journal linked to your bank account and {guilabel}Batch Deposit as the {guilabel}Payment Method, and click {guilabel}Create Payment.

:alt: Registering a customer payment as part of a batch deposit

Add payments to a batch deposit

To add payments to a batch deposit, go to {menuselection}Accounting --> Customers --> Batch Payments, and click {guilabel}New. Next, select the {guilabel}Bank and choose {guilabel}Batch Deposit as the {guilabel}Payment Method.

:alt: Filling out a new inbound batch payment form

Click {guilabel}Add a line. In the pop-up window, tick all payments to include in the batch deposit, then click {guilabel}Select.

:alt: Selecting all payments to include in the batch deposit

Once done, click {guilabel}Validate to finalize the batch deposit.

:::{tip} Click {guilabel}Print to download a PDF file to include with the deposit slip. :::

Bank reconciliation

Once the bank transactions are on your database, you can reconcile bank statement lines with the batch payment. To do so, go to the {guilabel}Accounting Dashboard and click {guilabel}Reconcile Items on the related bank account. Go to the {guilabel}Batch Payments tab to select a specific batch and click {guilabel}Validate to finalize the process.

:alt: Reconciling the batch payment with all its transactions

:::{note} If a specific payment could not be processed by the bank or is missing, remove the related payment before reconciling. :::

:::{seealso}

  • {doc}../payments
  • {doc}batch_sdd :::