Post to Vendor Transaction Files Instructions
The Post to Vendor Transaction Files process creates invoice and check transactions for the Vendor Invoices and Checks programs. If you choose to use the dual posting option, this program processes the data for the Vendor Invoices and Checks system before running the Payroll Post. Splitting up the posting tasks into two programs may be useful for auditing this portion of the post separately. If you choose the single posting option, the Payroll Post handles the updates for the Vendor Invoices and Checks.
Notes:
This program appears on the menu only if the Company Control Option setting for Create Automatic Vendor Invoices/Checks is 2 - Dual Post.
For more information, refer to the topic, Understanding Vendor Invoices and Checks.
For more information about working with data in fields, see Data Entry Guidelines.
Directions: