EFTXpress - The Effective, Efficient and Fast Electronic Funds Transfer Program

By: Peresoft  11-11-2011
Keywords: Bank Account, Electronic Funds Transfer, Cashbook

If your bank format is not on the list you need to supply Peresoft with the following information:

  • A detailed record layout of your EFT bank format which can be obtained from your bank.

  • The name of the EFT Bank Format. This name will be used in the Bank Format drop down on the EFTXpress Bank Codes screen.

  • The serial number of the EFTXpress purchased. Peresoft will only write the interface for the EFT bank format for clients who have already purchased EFTXpress. This will ensure development costs of the new bank format is covered. All new banks formats are automatically included in the updates to EFTXpress which is available to all users within the region.

EFTXpress requires additional information for Vendors and Customers depending on which bank format you are using.

You are able to enter additional information for multiple banks for each Miscellaneous Code.

To link a Miscellaneous Code to an existing Vendor or Customer, use the same Vendor or Customer number that you used in ACCPAC Accounts Payable and Accounts Receivable. When creating an EFT batch and entering the Vendor or Customer number in Batch Entry, Cashbook will retrieve this information from the CB Miscellaneous Codes table.

An extra batch type is now available called EFT Batch. Use this batch type to create an Electronic Funds Transfer file to submit to your particular bank for processing.

Security Rights on the EFT Tab in Miscellaneous Codes where Bank Account Payment information for the Vendor is setup.

Audit List in C/B Register Reports to print any fields that have been modified in the EFT Tab of Miscellaneous Codes where Bank Account Payment information for the Vendor is setup.

Re-generate an EFT File from a posted EFT Batch in Batch List. Useful if you need to update the Account Payment information for a Vendor without having to repost the EFT batch.

If the date in Setup EFTXpress Banks is greater than today's date, the setup date is used otherwise today's date is used when generating the EFT file.

EFTXpress is an add on product which enables Cashbook users to select EFT as a Cashbook batch type. During posting of the EFT batch an EFT file is generated in the specific format your bank requires to process the EFT payments.

Once your bank has processed the EFT payments, EFT

X

press imports the Reference Numbers generated by your bank. EFT

X

press will match these payment entries to the EFT transactions in the Cashbook and update the Reference Numbers in the Cashbook Bank Reconciliation to facilitate reconciliation to your bank statement.

The list of bank formats available for EFT

X

press is increasing all the time as more and more users provide Peresoft with their EFT bank formats to take advantage of the new EFT functionality. Consult the

list to see which bank formats are available. Provide us with your EFT bank format and we will add it to the list of formats already available.


EFTXpress is an add on product which enables Cashbook users to select EFT as a Cashbook batch type. During posting of the EFT batch an EFT file is generated in the specific format your bank requires to process the EFT payments.

Once your bank has processed the EFT payments, EFT

X

press imports the Reference Numbers generated by your bank. EFT

X

press will match these payment entries to the EFT transactions in the Cashbook and update the Reference Numbers in the Cashbook Bank Reconciliation to facilitate reconciliation to your bank statement.

The list of bank formats available for EFT

X

press is increasing all the time as more and more users provide Peresoft with their EFT bank formats to take advantage of the new EFT functionality. Consult the

list to see which bank formats are available. Provide us with your EFT bank format and we will add it to the list of formats already available.



EFTXpress Bank Setup


EFTXpress Bank Setup

images/products/brochure_images/EFTXpress/large/eft_bank_setup.gif

Miscellaneous Code Setup

images/products/brochure_images/EFTXpress/large/eft_misc_code_setup.gif

EFT Batch Creation

images/products/brochure_images/EFTXpress/large/eft_batch_control.gif

Vendor Payment Security Rights

images/products/brochure_images/EFTXpress/large/eft_security.gif

EFT Bank Audit

images/products/brochure_images/EFTXpress/large/eft_bank_audit.gif

EFT File Re-Generation

images/products/brochure_images/EFTXpress/large/eft_batch_list.gif

EFTXpress Bank Setup

images/products/brochure_images/EFTXpress/large/eft_bank_setup.gif


Keywords: Bank Account, Bank Reconciliation, Cashbook, Electronic Funds Transfer

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