Setting Up Bank Records of Vendors in Hong Kong

Set up the bank account records of each vendor to whom you will send electronic bank payments. You can set up multiple bank accounts for each vendor.

To set up vendor bank details in Hong Kong:

  1. Go to Lists > Relationships > Vendors.

    For information on adding a vendor, see Creating a Vendor Record.

  2. Click the Edit link next to the name of the vendor.

  3. On the Bank Payment Details subtab, check the EFT Bill Payment box, and click Save.

  4. Click New Bank Details.

  5. Complete the fields on the Bank Details page:

    Field

    Description

    Name

    Enter a unique name for this entity bank detail record.

    Payment File Format

    Select HSBC ISO 20022 (Hong Kong).

    Account Number

    Enter the vendor’s bank account number (7–12 digits).

    Bank Code

    Enter the 3–digit code that identifies the vendor’s bank.

    Branch Number

    Enter the 3–digit code that identifies the bank branch where the vendor’s account is maintained.

    Bank Name

    Enter the name of the vendor’s bank.

  6. Click Save.

You can also set up bank records of vendors, employees, customers and partners by importing bank details in CSV format into NetSuite using the Import Assistant. For more information, see Importing Electronic Bank Payments Data.

Related Topics

General Notices