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Detailing the Configuration for the Payment Run
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Configuring and Managing Payment Program Settings
Configuring and Managing Payment Program Settings
Configuring Company Code Settings for Payment Program
34 min
Configuring Payment Methods for Payment Program
21 min
Configuring Bank Section for Payment Program
26 min
Modifying Customer/Vendor Master Data and Financial Documents
4 min
Executing a Payment Run Based on the Customizing Settings
8 min
Quiz
Configuring and Managing Payment Program Settings
Configuring Company Code Settings for Payment Program
34 min
Configuring Payment Methods for Payment Program
21 min
Configuring Bank Section for Payment Program
26 min
Modifying Customer/Vendor Master Data and Financial Documents
4 min
Executing a Payment Run Based on the Customizing Settings
8 min
Quiz
Knowledge quiz
It's time to put what you've learned to the test, get 7 right to pass this unit.
1.
What is the purpose of the "necessary information in the master record" setting for a payment method?
Choose the correct answer.
To determine the document type for payment.
To ensure that the necessary data, such as bank details for address data, is included in the respective master data for the payment method.
To define whether the payment method can be used for outgoing or incoming payments.
To specify the classification of the payment method, such as bank transfer, check, or supplier financing.
2.
Which field can be set in the "All Company Code Settings" for the Automatic Payment Run?
Choose the correct answer.
Paying Company Code
Bank Account
IBAN Number
Payment Method
3.
What master data is required when using the payment method check for automatic payment runs?
Choose the correct answer.
IBAN Number
SWIFT Code
Street, P.O. box or P.O. box postcode
Bank Account Number
4.
Which settings are made in connection with the ranking order in the bank selection for the Automatic Payment Run?
Choose the correct answer.
Payment Method, House Bank Account, Amount Limit, Ranking Order
Currency, Ranking Order, G/L Account, Company Code
Ranking Order, Account ID, Company Code, Currency
Payment Method, Currency, Ranking Order, House Bank
5.
Which of these statements about payment methods in the Automatic Payment Program are correct?
Choose the correct answer.
Payment methods can be used in a company code even if they are not available in the corresponding country.
Payment methods can be used in a company code only if they are available in the corresponding country.
Payment methods can only be used for outgoing payments.
A payment method can only be configured with cross-company code for the Automatic Payment Program.
6.
Which field can you set in the "Payment Methods per Company Code" for the Automatic Payment Run?
Choose the correct answer.
Sending Company Code
Max. Cash Discount
Payment Advice Notice Control
Minimum Amount for Outgoing Payment
7.
What parameters can be entered under the Payment Controls section for the Automatic Payment Run?
Choose the correct answer.
Additional log and Exchange Rate Type.
Company Code, Next Payment Date and Payment Method.
Supplier and Customer
Posting Date, Docs. Entered Up To and Customer Items Due by.
8.
Which field can be set in the "Paying Company Code Settings" for the Automatic Payment Run?
Choose the correct answer.
Bank Subaccount
Currencies Allowed
Clearing Document Type
Minimum Amount for incoming payment