EXPEDIENT SOFTWARE

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Update EFT Bank Details on Entry Submission

Expedient will display the bank details the EFT payment will be made from as part of the Submit and Pay or Pay Entry processes in the Nature 10/20 screen.

The Bank Details will default to match the setting for EFT payments in the Customer Masterfile in the Importer tab, EFT Owner field.  The Broker/Owner field can be updated in this pop up screen to select the correct bank details for this Entry.

Updated: March 23, 2016 — 10:15 pm
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