Editing and Posting New A/P Transactions
Once you've entered new A/P transactions in the New A/P Transactions
window, you must edit your work, make any necessary changes, and then
post transactions.
From the ,
click Post, and select Print
Transactions Edit List.
Review the edit list carefully.
Modify
your work, if necessary.
Once you are satisfied with
your work and you are ready to post transactions, do one of the following,
depending on whether you want to post all A/P transactions, or only
those for the current signed-on user.
- To post all A/P transactions,
Click Post, and select choice 2, Post
Transactions to A/P Files.
- To post transactions
for the current signed-on user only, click Post, and select choice
3, Post Signed On User Transactions to A/P Files. Note: Some setup
is required to use this method. Click hereSet option 9009 “Reduce exclusive use of AP &
GL transaction files” to Yes, and in option 435 “Spooler channel to
use when posting A/P transactions by user,” enter the spooler channel
you want the report to use.
When you use choice 3, the system automatically queues the report to
the channel entered in option 435 and with the current signed-on user
entered in the report’s From/To User so that only transactions for
that user are posted. for the
setup steps.
Proceed to the topic "Printing the
A/P Distribution to G/L Report."