AP AFT Remittance - Canada Report

You can use the AP AFT Remittance - Canada report to act as a stub for the vendor. The report prints a new page for each cheque with information about the funds that have been electronically transferred to their account. You can access this report by selecting Accounts Payable > Reports > AP EFT Remittance - Canada.

Report ParametersDescription

Company

Accept the default, or press F4 to select a company.

Month

Enter or select the month.

BatchId

Press F4 to select the batch ID number.

Effective Date

Enter or select the effective date.

Print All Remittance Reports?

Select the checkbox to print all remittances.