Assign Accounting Centre SSI to Groups

See previous W5 version guide

PURPOSE

This document explains the procedures on how to assign a accounting Centre SSI or bank account to multiple SSI groups.

WHY IS THIS IMPORTANT?

This allows user to assign one accounting centre SSI to multiple groups in a more convenient and faster way.

PROCEDURE

1. From Accounting Centre SSI screen (Set Up > Static > Settlement Instructions), click on the Edit button of the SSI (e.g. TF-CI-SGD) to drill down to Amend Acct Cntr SSI screen.

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2. Click on Assign Group.

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3. The following screen displays.

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4. To assign SSI to group(s), tick on the check box of the SSI group short name from the list on your left and click Add.

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5. Selected groups will be added to the Assigned Group list on your right.

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6. Click Save to save changes.

7. The following message will displays.

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8. To approve the SSI groups, navigate to Set Up > Static > Settlement Instructions. Click SSI Group.

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9. Tick on the checkbox of the SSI groups and click Action and Approve.

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10. Accounting Centre SSI groups will be approved. Changes are audit logged in SSI group Change History (Set Up > Static > Settlement Instructions > SSI Group > Click the Edit button of the Group to drill down to the Amend Accounting Centre SSI Group > Click on History).

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FREQUENTLY ASKED QUESTIONS

 

RELATED INFORMATION

Accounting Centre SSI Set Up

Accounting Centre SSI Group

CHANGE HISTORY

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