A custom-built Business Central AL extension that automates outbound vendor, employee and customer payments end to end: SEPA/ISO 20022 pain.001 file generation, direct bank connectivity for sending payments and importing statements, a payment approval workflow, exchange-rate download and remittance advice. Built, installed as a per-tenant extension, and supported by ECOSIRE on your environment. One-time license from $399.00 USD for Dynamics 365 BC (build-to-order) — includes 12 months of updates and support.

A custom-built Business Central AL extension that automates outbound vendor, employee and customer payments end to end: SEPA/ISO 20022 pain.001 file generation, direct bank connectivity for sending payments and importing statements, a payment approval workflow, exchange-rate download and remittance advice. Built, installed as a per-tenant extension, and supported by ECOSIRE on your environment.
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Business Central's core AP gives you the Payment Journal, suggested vendor payments and a generic positive-pay/SEPA export — but most finance teams still hit a wall when their bank wants a specific ISO 20022 pain.001 layout, when payments need a real approval chain, or when statement reconciliation has to round-trip automatically. This extension closes those gaps as a tailored AL solution built for your tenant and your bank.
SEPA and ISO 20022 pain.001 (.001.09 / .001.03) payment file generation, mapped to your specific bank's schema and validated against its XSD
Direct bank connectivity via the gateway your bank exposes — host-to-host SFTP, EBICS, or bank/aggregator API — implemented with AL HttpClient codeunits
Inbound camt.053 / camt.054 statement import with automatic matching into Bank Account Reconciliation
Unified vendor, employee and customer (refund) payment handling from a single payment workspace
Payment approval workflow built on native BC Approval Entries and workflow events, with multi-step and amount-threshold routing
Table and page extensions on Payment Journal, Vendor, Employee and Bank Account Card — no modification of base objects, fully upgrade-safe
ECOSIRE engineers it as a per-tenant extension (not a one-size AppSource listing): table and page extensions on the Payment Journal, Vendor, Employee and Bank Account Card; a configurable pain.001.001.09 / .03 export engine mapped to your bank's exact schema; and an approval workflow built on Business Central's native Approval Entries and workflow events so payment batches route to the right approvers before release.
Bank connectivity is implemented against the gateway your bank actually exposes — a host-to-host SFTP drop, an EBICS/API endpoint, or an aggregator — using AL HttpClient calls and codeunits, with secure credentials held in Isolated Storage. Outbound files are signed/exported on a Job Queue entry; inbound camt.053 statements are imported and matched to the Bank Account Reconciliation. Exchange rates download on a schedule, and remittance advice PDFs generate and email per payment run.
Because it is AL, it is upgrade-safe across BC monthly releases, ships with its own permission sets, and can surface payment data through the BC REST/OData API or into Dataverse for Power BI and Power Automate. You buy a one-time build; ECOSIRE scopes your bank format, develops, installs to sandbox then production, and supports it.
Owns the outbound payment run and wants vendor, employee and customer refunds paid from one place, with a clean approval trail and files the bank accepts on the first try.
Needs enforced segregation of duties on payment release, amount-threshold approvals and a complete audit trail for compliance, without bolting on a separate treasury tool.
Wants an upgrade-safe AL extension with proper permission sets and Isolated Storage for bank credentials — not unsupported base-object modifications or a fragile spreadsheet export.
Lisansı ecosire.com adresinden satın alın ve hesap kontrol panelinizden Vendor Payment Management & Bank Integration for Business Central modülünün ZIP dosyasını indirin.
ZIP'i sunucudaki Odoo özel eklentiler klasörünüze çıkarın (veya Uygulamalar > Odoo.sh / runbot'taki dosyadan yükle yoluyla yükleyin).
Geliştirici Modunu etkinleştirin, Uygulamalar'ı açın, Uygulama Listesini Güncelle'ye tıklayın, Vendor Payment Management & Bank Integration for Business Central'i arayın ve Yükle'ye basın.
Yeni menüyü açın, ECOSIRE lisans anahtarınızı yapıştırın, tüm harici kimlik bilgilerini (Shopify, Amazon, Stripe vb.) bağlayın ve kaydedin.
Yerleşik bağlantı testini çalıştırın, ilk 10 kaydınızı senkronize edin ve yinelenen cronu planlayın. Herhangi bir sorun olursa desteğe başvurun.
| Kriter | ECOSIRE | Özel Yapı | Rakip | Odoo Yerlisi |
|---|---|---|---|---|
| Bank-specific pain.001 mapped to your exact XSD (not a generic template) | ||||
| Direct bank connectivity (SFTP / EBICS / API) sending payments and importing statements | ||||
| Unified vendor, employee and customer-refund payment handling | ||||
| Payment approval workflow on native BC Approval Entries with amount thresholds | ||||
| Upgrade-safe AL extension with dedicated permission sets and Isolated Storage credentials | ||||
| Built, installed and supported on your environment by the vendor | ||||
| Source code handed over to you (no lock-in) | ||||
| Remittance advice PDF generation and automated emailing per run |
Typical lead time is 3 to 5 weeks from a confirmed scope. Week 1 is requirements and obtaining your bank's exact pain.001 schema, XSD and connectivity details; the middle weeks are AL development and unit testing in a sandbox; the final phase is your UAT against test files, then production install. The biggest variable is your bank — how quickly they provide their format spec and test-environment credentials directly affects the timeline.
No. This is a build-to-order extension. There is no instant AppSource download — ECOSIRE scopes it to your bank and processes, develops the AL extension, and installs it as a per-tenant extension directly on your Business Central environment (sandbox first, then production). You receive the .app package and source code at handover.
The one-time build includes a warranty period for defect fixes after go-live. Because it is a clean AL extension on table/page extensions and workflow events, it is upgrade-safe across Business Central's monthly releases, but we offer an optional support retainer to verify each major BC update, adapt to any bank-format change (banks periodically revise pain.001 versions), and handle enhancements. You always hold the source code, so you are never locked in.
Any bank that accepts ISO 20022 pain.001 (.001.09 or .001.03) or a SEPA Credit Transfer file, and any connectivity method your bank publishes — host-to-host SFTP, EBICS, or a bank/aggregator REST API. We map to your bank's specific schema during the build rather than shipping a generic template, which is why first-pass acceptance is high. If your bank uses a proprietary format we will confirm feasibility in scoping.
Yes. It is built entirely with AL extension objects (table extensions, page extensions, event subscribers and codeunits) and never modifies base application objects, so Microsoft's monthly platform updates do not break it. Bank credentials live in Isolated Storage, not in tables or code, and the extension ships with its own least-privilege permission sets so only authorized roles can release payments.
A custom-built Business Central AL extension that automates outbound vendor, employee and customer payments end to end: SEPA/ISO 20022 pain.001 file generation, direct bank connectivity for sending payments and importing statements, a payment approval workflow, exchange-rate download and remittance advice. Built, installed as a per-tenant extension, and supported by ECOSIRE on your environment.