You're almost there! Please answer a few more questions for access to the Applications content. Complete registration
Interested in joining? Complete your registration by providing Areas of Interest here. Register

EFT returns in Cash management

 we had a situation where EFT cleared and we matched it during May, however now it bounced back in June.

  how do we clear the return line correctly in cash management, so EFT is reset to the negotiable status and can be reissued to the vendor by AP?

Tagged:

Howdy, Stranger!

Log In

To view full details, sign in.

Register

Don't have an account? Click here to get started!