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TRANSCRIPT
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How to setup SEPA Credit transfers in Dynamics AX2012
1. Press Ctrl+D to open the AOT and go to the ‘Resources’ node
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Expand the resources node and go to the resource called ‘VendPayments_SEPACreditTransfer_03_.xsl
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On the resource, rightclick and select ‘Open’
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Accept the default values and export it to a file location, eg C:\SEPA
2. Configure an outbound integration port for payments [AX 2012].
Go to System administration\Services and Application Integration Framework and go to the folder Electronic payment services. Open up the form ‘Outbound ports for electronic payments’ set your cursor on SepaCreditTransfer and specify the location of the xslt file ‘SepaVend.xsl’ and the location of your outbound folder(here C:\SEPA) and press ‘Create Ports’
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Go to System administration – setup – Services and Application Integration Framework\outbound ports. Note how a new port has been created
3. Go to System Administration\Area Page\Inquiries\Batch Jobs and select ‘Batch Jobs’
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Create a new batch job(Ctrl + N) and call it for example SEPA Credit
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Press ‘View tasks’ and create 2 new tasks for the classes ‘AifGatewaySendService’ & ‘AifOutboundProcessingService’
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From the batch job screen you can define the recurrence, for example here the batch is defined to run every 1 minute
And also via the Functions button change the status to ‘Waiting’ so that the batch job can execute
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4. Go to Accounts Payable – Common – Vendors – All vendors and select a vendor, here ‘2003’ and select to edit
- Go to the Payment (section) and the fieldl Bank account – rightclick – view details
- Add a new Bank account, f.e. ‘BANK’ o Swift code – 123456789o IBAN - BE 41 0630 1234 5610o Bank group EUR
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2. Add the ‘BANK’ account to the Vendor
Go to Cash and Bank management – Common – Bank accounts and select EUR OPER
In EUR OPER select edit and enter on the ‘Additional information’ paneo Swift code – 123456789o IBAN - BE 41 0630 1234 5610
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Test the SEPA file generation:
1. Click Navigation Pane node: Accounts payable -> Journals -> Payments -> Payment journal.2. New ‘AP_Paym’ journal header3. Click the Lines button.4. Insert payment transaction
o Vendor 2003o Debit amount 1000o Offset account ‘EURBANK’
And press Functions/Generate Payments
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Select ‘Export payment using service o SEPACreditTransfero Bank account ‘EUR OPER’o Show format dialog – marked
5. Click the OK button and enter the relevant values in the dialog that appears
o Processing date – any, f.e. 2013-01-01o Format Strdo Country BE
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Go to your outbound folder C:\SEPA and note that the SEPA xml file was created