Autopay Netsuite – Paystand Help Center

Autopay Flow

In order for Autopay to execute an Invoice, there are three requirements to trigger Autopay.

Requirements for Autopay to run

CUSTOMER RECORD

1. A payer needs to save a token for Autopay How to tokenize a payment method for Autopay

After a payer has tokenized their payment method for Autopay, you will see this reflected by having the Paystand Token field populated on the Customer Record in Netsuite.

INVOICE

2. On an Invoice record, set the Autopay Status field to: Eligible How to set up an invoice to autopay eligible?

3. On an Invoice record, set the Autopay date to when you would like the Invoice to be automatically paid after a customer has tokenized their payment method for Autopay.

If all three requirements are present, the Paystand bundle will automatically collect payments for Customers that have tokenized the payment metho d for Autopay, and Invoices that present an Autopay Status set to ' Eligible' and have an Autopay Date set.

Autopay Considerations

In such cases, you will receive an error message stating: This transaction is currently in a closed period.

Making Partial payments using Autopay

Discover the efficiency of autopay for managing partial payments. This article details the steps involved in processing partial payments via autopay.

To activate this feature, contact your designated Customer Success Manager (CSM). For any technical concerns related to this feature, please submit a request to our support team.

1. Access the chosen invoice and select Edit within the invoice record.

2. The autopay amount field is where you input the desired partial payment amount to be charged.

3. An autopay date is also required for the successful execution of autopay.

4. Another prerequisite for autopay functionality is marking the invoice as eligible within the autopay status.

5. Click this button.

6. Upon autopay execution, the invoice will automatically debit the amount entered in the autopay amount field and apply it to the respective invoice.

The autopay status will reflect as success.

Convenience Fees using Autopay

Autopay applies your default convenience fee plan to all payers. However, if you require varying convenience fees based on different payers, utilizing the advanced convenience fee feature allows for multiple fees to be charged across your Accounts Receivable (AR).

Sync tokens across subsidiaries

Efficiency in managing payments across multiple subsidiaries is key for streamlined financial operations. The syncing of payment tokens streamlines this process, allowing a single payer to utilize one token across various subsidiaries. This guide details how syncing tokens enables a unified payment experience, simplifying transactions for both customers and subsidiaries.

1. Select the Sync Tokens button within the customer record.

2. This action retrieves the token registered in one subsidiary, enabling its use in a different subsidiary for making payments.

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Autopay Netsuite