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How to: Set Up Payment Statuses (France)

To use payment management, you must set up payment statuses to define payment document progress levels. You must define a set of statuses for each payment class. For more information, see How to: Set Up Payment Classes.

To set up payment statuses

  1. Choose the Search for Page or Report icon, enter Payment Slip Setup, and then choose the related link.

  2. Select a payment class, and then choose the Status action.

  3. In the Payment Status window, choose the New action.

  4. Fill in the fields as described in the following table.

    Field Description
    Name The payment status description.
    RIB Select to indicate that information about the Relevé d Identité Bancaire (RIB) statement for the customer or vendor must be displayed in the payment lines. The RIB information includes the bank branch number, agency code, bank account number, bank name, RIB key, and key verification.
    Look Select to indicate that the payment document lines that have reached this payment status can be edited and viewed in the View/Edit Payment Line window.

    For more information, see View-Edit Payment Line.
    ReportMenu Select to indicate that the documents that have reached this payment status can be printed.
    Amount Select to display the amount in the payment lines.
    Payment in Progress Select to indicate that all billing and payment lines with this status must be considered when calculating the payments in progress.
    Archiving Authorized Select to indicate that payment headers with this payment status can be archived.
  5. Choose the OK button.

See Also

Dynamics 365 Business Central
Payment Management
How to: Set Up Payment Classes
How to: Set Up Payment Steps
How to: Set Up Payment Addresses
How to: Create Payment Slips
How to: Post Payment Slips
How to: Archive Payment Slips
How to: Export or Import Payment Management Setup Parameters