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Banking File - Latvia 
This page contains some guidance about where to enter information in order for it to be included correctly  
in Banking File  export files when they are produced  
using the various Latvian bank Payment File 
Formats .
 Latvia - FidaVistaConfigurationPurchase InvoicesIn the Company Info setting: 
 Ensure the Company Name is correct.
Enter the VAT Reg. No. of your company.
Enter the Country (two-character ISO 3166 format i.e. "LV"). 
 
In the Banks setting:
 Enter a separate record for each Bank used by your Suppliers, and one for your own Bank.
 
Specify a BIC (SWIFT) in each Bank record. 
For your Suppliers' Banks, the address in the first Address field will be exported. 
 
In the Contact records for each Supplier:
 The address in the first Invoice Address field will be exported.
Specify a Reg. No. 1 or VAT Reg. No.
Enter the country where the Supplier is located in the Country field (two-character ISO 3166 format).
 
Enter the Supplier's bank account number in the Bank Account field.
Enter the Supplier's Bank in the Account Operator field using 'Paste Special'. 
 
In the Payment Modes setting, enter your bank account number in the Bank A/C No. field in each Payment Mode.
 ExportingSpecify a Reference or a Supp. Inv. No. in each Purchase Invoice.
 Select the appropriate Pay Method option in the 'Specify Banking File' window. "N" will be exported in the tag <Priority> if Normal is selected, "U" if Express is selected or "X" if
 Extra Urgent is selected.
 
Select the appropriate Bank Fees option in the 'Specify Banking File' window. "OUR" will be exported in the tag <Comm> if We Pay is selected, "BEN" if Suppliers Pay is selected or
 "SHA" if Shared is selected. You can use the
 Payment Settings setting to choose which option
 in the specification window will be selected by default.
 Latvia - SEPAConfiguration
 PaymentsIn the Company Info setting: 
 Ensure the Company Name is correct.
Enter your company's address in the first two Address fields. Both fields must be filled in for the address and country to be exported.
 
Enter your bank account number in IBAN format including two-character country prefix in the Bank 2 field. The bank account number will be used if the Bank A/C No in a Payment Mode is blank (step
 4 below), and the country prefix will be used as the country in which you are located.
 
In the Banks setting:
 Enter a separate record for each Bank used by your Suppliers, and one for your own Bank.
 
For your own Bank, specify a BIC (SWIFT) and enter the Account (IBAN).
If you will be sending Payments to a Supplier's Bank in Currencies other than the Euro, specify an Exchange Rate Contract Number in that Supplier's Bank record.
 
If a Supplier's Bank is not in your country, specify a BIC (SWIFT) in their Bank record, and enter the word "Foreign" in the Sort Code field.
 
For your Suppliers' Banks, enter the country in which they are located in the Country field (in two-character ISO 3166 format).
 
In the Contact records for each Supplier:
  Enter the address using the first two Address fields. Both fields must be filled in for the address and country to be exported (the country will be taken from the prefix in the Supplier's IBAN).
 
Enter the Supplier's bank account number in IBAN format including two-character country prefix in the IBAN Code field.
 
 If the bank account number is not in IBAN format, enter it in the Bank Account or Bank Account 2 fields, and enter the Supplier's country in the Country field (in two-character ISO 3166 format).
 
Enter the Supplier's Bank in the Account Operator field using 'Paste Special'. 
 
In the Payment Modes setting, enter your Bank on flip D of each Payment Mode using 'Paste Special' and ensure the Account (IBAN) is brought into the
 Bank A/C No field on flip A.
 ExportingEnsure the To Bank A/C on flip H of each row contains the relevant Supplier's IBAN. If this field is blank or contains a bank account number that is not in the IBAN format, the tag
 <IBAN> in <CdtrAcct> will not be exported and instead the bank account number will be
 exported in the tag <Id> instead .
 
If you add a Bank Reference to at least one Payment row (flip H), it will be exported in the tag <Ref> inside <CdtrRefInf>. The Bank Reference will be copied from the Reference in each
 Purchase Invoice being paid.
 
Select "Per Supplier" as the Payment Format on the 'Bank' card if appropriate.
 
Tick the Foreign Payment box on the 'Bank' card if appropriate.
 Select "Shared" as the Bank Fees option in the 'Specify Banking File' window if appropriate. This will cause "SLEV" to be exported in the tag <ChrgBr>. You can use the
 Payment Settings setting to choose which option
 in the specification window will be selected by default.
 
If a Payment record contains more than one row with the same Supplier, you can select One Payment per Supplier in the 'Specify Banking File' window if you want those rows to be grouped
 together in the export file. If selected, all Payments will be exported on a One Payment per Supplier basis.
 If not selected, only those Payments where the Payment Format is "Per Supplier" (step 7 above)
 will be exported on that basis.
 
When a Payment is exported on a "Per Supplier" basis, the <Ustrd> tag will contain a long text string made up of references to each Purchase Invoice being paid. Usually, the Supp. Inv. No. of each
 Purchase Invoice will be exported in this tag in the format Invoice:Supp. Inv. No, 1, Supp. Inv. No. 2. If If
 any Purchase Invoice does not have a Supp. Inv. No., the text "TRANSFER" will be exported (e.g.
 Invoice:TRANSFER, Supp. Inv. No. 2).
 
If a Payment record contains a row paying an international Supplier, the BIC (SWIFT) of the Supplier's bank will be exported in the tag <BIC> inside <FinInstnId> inside
 <CdtrAgt>. The payment to an international Supplier will be detected by comparing the country
 prefix in your IBAN (in the Company Info
 setting) with that in the Supplier's IBAN. If the Supplier does not have an IBAN, the country prefix in
 your IBAN will be compared with the Country in the Supplier's Bank record or in the Contact record for
 the Supplier. The Supplier's country will be exported in the tag <Ctry> inside <Dtls> inside
 <RgltryRptg>. These tags will not be exported when paying domestic Suppliers, unless you select
 Foreign Country Payment in the 'Specify Banking File' window or in a particular Payment record
 (step 8 above).
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 Export functions in the Purchase Ledger and Integration modules:
 Introduction
Banking File, including:
 Australia - ABA
Czech banking file formats (includes Czech - ABO and Czech - CITI bank)
 
Danish banking file formats (includes BGBank, Den Denske Bank, Jyske Bank, Midtbank, SYDBANK and Unibank)
 
Estonia - Riigikassa
Finland - SEPA 
Germany - SEPA
Hungary - HVB
Latvian banking file formats (includes FidaVista and SEPA)
Lithuanian banking file formats (includes LITAS-ESIS 1.1 and SEPA)
 
Namibia
New Zealand banking file 
formats (includes ANZ, ASB, BNZ, KiwiBank, National Bank and Westpac)
Norwegian banking file formats (includes DnB Telepay, K-Link, SparNett, Postbanken and Telepay 2)
 
Polish banking file formats (includes BPH, ING Bank and Reiffaisen Bank)
 
Spain - SEPA
Swedish banking file formats (includes Handelsbanken, Nordea, PostGirot, SE-Banken and Swedbank)
 
UK - BACS
 
Intrastat Purchase Invoices UK
Open Purchase Invoices
P/L Liquidity List
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