Updating and Resetting the Payment Status
In Continia Banking, payment statuses in extended payment journals provide real-time validation and updates on your payments. These statuses ensure your payment information complies with bank requirements and keep you informed about the necessary actions and payment progress.
For direct bank communication, Continia Banking automatically imports status updates from your bank, though the update frequency can vary. Most banks use the ISO PAIN.002 status file, which provides two types of updates:
- Initial Status - sent immediately after the bank receives the ISO PAIN.001 payment file, indicating:
- Processing - the payment file format is valid and is being processed.
- Rejected - the payment file is invalid and has been rejected.
- Subsequent Status - sent after the bank validates the payment lines, indicating for example:
- Amount Adjusted - The payment amount has been modified. This adjustment has been made by the bank and could be due to a change in the currency exchange rate.
- Rejected - the bank did not accept the payment.
- Paid - the payment has been completed.
For a complete overview of all statuses, refer to the Payment Statuses article.
To update the status
When a status file is available in the bank, you can import the file.
To update the status:
- Use the icon and search for Payment Journals, then select the related link.
- On the payment journal page, in the page header, go to the Batch Name field and choose the payment journal.
- On the payment journal, go to the action bar and select Home > Update Status. If any status files are available from the bank, the status of the payment lines will be updated.
To reset the payment status
You can reset the status of a payment line that has been sent or exported if you need to modify the payment details or resend/reexport the payment. For payments sent via direct bank communication, you must first contact your bank to cancel the payment before resetting the status.
To reset the payment status:
- Click the icon and search for Payment Journals. Select the related link.
- On the Payment Journals page, select the lines you want to reset.
- On the action bar, select Bank > Void Payments.