This documentation supports the 23.3 version of BMC Helix ITSM Asset Management.To view an earlier version, select the version from the Product version menu.

Adding a payment for a contract


In the Mid Tier interface, use the Financials tab on the Contract Information form to specify information about payments. You can specify the due dates, date sent, and information about the check. You can also add, remove, and view payments.

To add a payment for the current contract

  1. In Mid Tier, open the contract.
  2. If you made changes to the contract, save the contract.
  3. Click the Financials tab.
  4. In the Payments area, click Add.
  5. In the Payment Information dialog box, complete the fields, and click Save.
  6. On the Contract form, click Save.

 

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