Manual Payment
Last updated
Last updated
Ottu enables merchants to perform manual payments easily through a streamlined process. Explanations on how to trigger Manual payment is available in the section. Upon triggering the manual payment action, a Manual Payment Form is presented.
Below information should be filed by the merchant:
This list shows the invoicing periods connected to the selected contract.
The involved bank name, if the payment is made via bank transfer. Merchants can add or remove banks via Bank Listing section.
Date of the cheque if the payment is made by cheque.
Treasury details if the payment is made in cash. For more information about cash treasury, please refer to Cash Treasury List section.
Automatically populated based on the selected not paid invoices.