Configure import settings for statements and incoming payments

  1. Go to the Cash accounts (CA202000) window.
  2. In the Cash account field, select the account for which you want to set up automatic import of payments.
  3. In the IBAN field, enter the IBAN for this cash account. The use of the AutoPay functionality requires that the account has a valid bank agreement for AutoPay.
  4. In the Default action bank statements field, choose what you want the system to do with the imported bank statements, with or without bank transaction rules (see: Create bank transaction rules). The options are:

  5. In the Default action incoming payments field, choose what you want the system to do with incoming AutoPay payments.

  6. Click .

    Repeat the procedure for all accounts you want to set up.