Make fast, error-free payments by exporting files that are formatted specifically for exchanges with your vendor or bank. These files speed up the payment and reconciliation processes, and eliminate errors that can happen when you manually enter the information on a bank website.
This extension supports file formats for several Danish banks. When you export payment information to a file, the extension packages the data into the format that your bank requires. For example, the formats include Bankdata-vl, BEC, SDC, and FIK, which many different banks use, and some that are more specialized for certain banks, for example, Danske Bank and Nordea. The extension also includes some formats for importing and reconciling bank statements.
To use the extension, you must know the format that your bank or vendor requires. Some banks or vendors provide this information on their websites; however, you might need to contact their customer service to get the information.
This extension can apply the following file formats for payment files:
There are a few steps to get started.
Additionally, you must assign vendors to a domestic Gen. Bus. Posting Group and a Vendor Posting Group. The Country/Region setting for the vendor must be Denmark (DK). For more information, see Setting Up Posting Groups.
The following table shows the combinations of FIK and GIRO payment methods that Dynamics NAV supports.
Type 01 | Type 04 | Type 71 | Type 73 | |
---|---|---|---|---|
Giro Account No. or FIK Creditor No.? | Giro Account No. | Giro Account No. | FIK Creditor No. | FIK Creditor No. |
Allows Message to Recipient? | Yes | No | No | Yes |
Contains Payment Reference number? | No | Yes, 16 digits. | Yes, 15 digits. | No |
In the Payment Reference field, enter the 15-digit number from the vendor invoice.
You only have to add the last 11 digits of the number. Dynamics NAV will add four zeros to the beginning of the number.
Choose the Suggest Vendor Payment Journals action.
If you want to export only specific payments, use the options for filtering the data.
If needed, you can add filters to export only specific payments.
FIK Details in the Payment Reconciliation Journal
Customizing Dynamics NAV Using Extensions
How to: Create SEPA Direct Debit Collection Entries and Export to a Bank File
How to: Set Up SEPA Direct Debit
How to: Post SEPA Direct Debit Payment Receipts
Collecting Payments with SEPA Direct Debit
Working with General Journals
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