Set Up Bank Reference Files
To process electronic payments, you must first set up bank reference files to determine how payment data should be imported or exported.
To set up a bank reference file
- Choose the  icon, enter Bank Reference File Setup, and then choose the related link. icon, enter Bank Reference File Setup, and then choose the related link.
- On the General FastTab, fill in the fields as described in the following table. - Field - Description - No. - Specifies a bank account code. - Export Reference Payments - Enter the full path of the payment file to export. - Import Reference Payments - Enter the full path of the payment file to import. - Currency Exchange Rate File - Enter the full path of the currency exchange rate file. - Inform. of Appl. Cr. Memos - Select to display credits applied to invoices on the payment recipient's account statement. 
- On the Foreign Payments FastTab, fill in the fields as described in the following table. - Field - Description - Export Foreign Payments - Enter the full path of the payment file to export to foreign banks. - Due Date Handling - Select how due date processing should be applied to foreign payments. 
 Batch – All payments in the file receive the same payment date.
 –or–
 Transaction – Each payment in the file receives a transaction-specific payment date. Contact your bank to determine whether this setting should be used.- Default Service Fee Code - Select a default service fee code for foreign banks. - Default Payment Method - Select a default payment method for foreign payments. - Exchange Rate Contract No. - Enter the exchange rate contract number. - Allow Comb. Foreign Pmts. - Select to combine all foreign payments made to one recipient in one day from the same bank account. 
- On the SEPA FastTab, fill in the fields as described in the following table. - Field - Description - Bank Party ID - Enter a SEPA bank party ID. Note: This field is only used for the SEPA pain.001.001.02 standard. - File Name - Enter the full path of the SEPA payment file. Note: This field is only used for the SEPA pain.001.001.02 standard. - Important- To export vendor payments using the SEPA standard, you must fill the Payment Export Format field on the Bank Account Card page. 
- Choose the OK button. 
See Also
 Electronic Banking in Finland
 Generate Payment Files
 Disregard Payment Discounts