Task list: | How to: |
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1. Register with a Sage 50 Accounting approved payment processing service. |
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2. Enter the bank information in your vendor records. If you have employees, enter the bank information in your employee records. | In the Vendors Records window, on the Direct Deposit tab for each vendor, enter their bank account information. In each employee record, enter their bank account information on the Direct Deposit tab. |
3. (Optional) You might want to create a separate account to track the payment amounts that you uploaded to your payment processing service. It makes it easier to reconcile these payments later. | Create an account. |
4. (Optional) |
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5. (Optional) Select the type of form and printer settings for
printing the direct deposit and payment stubs. |
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Set up Sage 50 Accounting for EFT Direct
Upload payment file to the payment processing service provider
Email a direct deposit stub to employees
Email a payment stub to vendors
Process several paycheques at once
Add or modify an employee's bank account information
Add or modify a vendor's bank account information
Print direct deposit stubs for employees
Print payment stubs for vendors