Note: To add and or update the latest EFT formats select File | Update Formats.
The Setup Banks for EFTXpress form consists of the following:
Field |
Value |
Bank Code |
Select the relevant Bank Account code for which you are creating the EFT file. This bank must have already been set up in Cashbook. You can only create one EFT file format per Bank Account. |
Bank Format |
From the Bank Format drop down list select your bank. Many EFT bank formats are available from Peresoft. Contact your Solution Provider or visit the Peresoft web site to obtain an up to date list of EFT formats available. This field has a zoom button whereby you can view the actual bank format and which fields are used for the export. |
Export Path |
In the “Export Path” field, you must specify the location of the file which you wish to create. This is normally the location from where the file can be sent to your bank. For example: C:\Sage\Sage300\EFT_Files\ In the Web UIs this will be the default downloads folder. |
File Extension |
The file extension that the bank requires for the EFT File. |
Account Number |
Enter your bank account number at the bank. |
Branch Code |
Enter your bank branch code. |
Seed Number |
Enter the Seed Number the bank assigned to you. (Only applicable to certain bank formats) |
Button |
Select |
|
Select the Print button to print the EFTXpress Bank Setup or File | Print for On Premise. |
Save |
Select the Save button to save your changes to the EFTXpress Bank Setup for Bank Code ‘xxx’ |
Update |
Select the Update button to update/add new Bank Formats or File|Update Formats for On Premise. |
Delete |
Select the Delete button to delete the EFTXpress Bank Setup for Bank Code ‘xxx’. |
Close |
Close the EFTXpress Bank Codes Setup window. |
There are three tabs for Setup EFTXpress Banks: