Direct Deposits

Accounts with credit balances can have their credit amounts deposited directly to a bank account, using this option. Direct Deposits will write an ASCII file containing credit amounts for all accounts that have a credit balance and who have bank account information set up (see Account in the Setup Manual for more information). As part of this process, the credits will be offset in carrier/dealer accounts by debits. The ASCII file will be located in /dti/exchange/cm/secure and the file name will be depositMMDDYY-xxx.d (see Appendix B for the formats). You can then send this file to the bank. Newspapers with direct deposit programs usually require carrier/dealers in the program to have accounts at a bank where the newspaper has an account.

Note:

Contact the Naviga Global Support Center in the early planning stages as custom programs may need to be written to accommodate the format of the file going to your bank.

To direct deposit money to your carrier/dealers:

  1. Select Direct Deposits from the AP/Direct Deposit menu to display the Account Direct Deposits window.

  2. Click Add and complete the following fields.

  3. Click OK.

  4. Click Review if you want to review the deposits that will be made.

    • The “Credit Balance Review” screen will be displayed.

  5. Click Continue to process the direct deposit. The ASCII file will be created, and all exported credit will be offset with debit memos. An Account Direct Deposits report will be created, showing the number of records processed and any errors that occurred.

Example—Account Direct Deposits

Last updated

Logo

COPYRIGHT © 2024 NAVIGA