You can choose when to update supplier accounts with direct debits and standing order postings from the Cash Book, with invoice and credit note postings from sales or purchase order processing, or with external transactions.
The pending supplier transactions file can be used to manually import supplier transactions. This can be done by your Business Partner or via a third party software application.
Once transactions have been added to the file, use Update Pending Transactions to add the transactions to the Purchase Ledger.
Select Update the Cash Book to add purchase transactions to the relevant Cash Book accounts.
To import foreign currency transactions, you must Update the Cash Book to add these transactions to the Purchase Ledger and the Cash Book.
Please contact your Business Partner for further assistance.
Open: Purchase Ledger > Period End Routines > Update Pending Transactions.