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  • CNAB Receivable - Model 1- Remittance (Bank Communication - SIGAFIN)

Given below are the steps required to put into effect the Banking Communication of Remittance of CNAB Receivable, Model 1.

Procedures

To configure the Remittance File of CNAB Receivable Model 1:

1. In Configurator module, CNAB Receivable option, the remittance file of Accounts Receivable must be configured according to the positions and rules described in the bank guide.

2. In Financials module, Bank Parameters option, register the parameters of bank at issue.

Note: In the EE_Tabela field, enter the code of the relationship table between the bill type in Financials and the bill type in the bank. The system default is Table 17 of the Configurator module, but new tables can be created to perform the same process.

3. In the Configurator module, Tables option, check which table is used for this bank through the Bank Parameters Register.

If it is Table 17, you must check the bank return standard regarding the bill type and update Table 17 in the Configurator module.


Example:

Considering that, for NF type bills the bank identifies as 01, Table 17 is as follows:


Key

Description

NF

01

Thus, the System identifies the NF type bills of the System as equivalent to the bills that the bank identified as 01.

4. In Financials module, CNAB Occurrence Register option, bank occurrences must be registered for dispatch of Accounts Receivable.

5. In Financials module, Bordereaux option, bordereaux must be generated with the bills to be sent to the bank.

6. In the Financials module, Generate Dispatch File Receivable option, you must generate the text file to be sent to the bank.