Create a bank facility agreement for a letter of credit
This task walks through the steps for creating a Bank facility agreement to process a Letter of credit. You will want to set up bank facilities and posting profiles before this task. This task uses the demo company 'USMF'.
Create Bank facility agreement
- Go to Cash and bank management > Letters of credit > Bank facility agreements.
- Click New.
- In the Agreement number field, enter the agreement number according to the agreement with the bank.
- In the Bank account field, enter the account number at the issuing bank.
- In the list, click the link in the selected row.
- In the Start date field, enter a date and time.
- In the End date field, enter a date and time.
- Expand or collapse the General section.
- Click Add line.
- In the Facility type field, click the drop-down button to open the lookup.
- In the list, find and select the desired record.
- In the list, click the link in the selected row.
- In the Limit field, enter the facility amount that was negotiated with the bank.
- Click Save.
- Click Extend to open the drop dialog.
- In the New agreement number field, type a value.
- In the End date field, enter a date and time.
- Click Extend.
- Close the page.
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