Pay Bills is where you pay one or many vendor bills at once — by check, ACH, debit, bill-pay service, or manual entry for a payment you already made in your bank’s online bill-pay.

How to get there #
Menu: Banking → Pay Bills
Direct URL pattern: https://yourdomain.com/?bizRt=phreebooks/main/manager&jID=20&mgr=1
What the screen shows #
Every open vendor bill, sorted by due date, with early-pay discount windows highlighted. Columns include:
- Vendor
- Bill # — your reference.
- Vendor Inv #
- Bill Date / Due Date
- Balance — open amount.
- Discount Available — in-window discount amount (if the bill has early-pay terms like 2/10 Net 30 and today is within 10 days of the bill date).
- Pay — a checkbox to include this bill in the run.
- Amount to Pay — pre-fills to full balance; editable for partial payments.
Filters #
- Vendor — narrow to one vendor.
- Due Before — show only bills due in the next N days.
- Discount Available — show only bills where an in-window discount exists.
- Status — Open / Partially Paid.
Running a payment batch #
- Pick the Pay From bank account at the top.
- Set the Payment Date (defaults to today).
- Pick the Payment Method:
- Check — Bizuno will auto-number and allow you to print checks after posting.
- ACH — generates a NACHA file for upload to your bank’s ACH portal (if you’ve set up ACH in Admin).
- Debit / Wire / Online Bill Pay — no file generated; use when the payment happens outside Bizuno and you’re just recording it.
- Vendor Credit Applied — use open vendor credits to zero out bills without cash.
- Tick each bill to include. For bills with discounts, tick Take Discount to apply the early-pay discount.
- Adjust Amount to Pay for partial payments if needed.
- Verify the total at the bottom matches what you intend to pay.
- Click Post. Bizuno:
- credits the Pay-From bank account for the total,
- debits A/P for each bill paid,
- credits “Discounts Taken” for any early-pay discounts claimed,
- and for Check method, creates a check record for each vendor ready to print.
Printing checks #
After posting a Check batch:
- You’ll land on a Check Print screen listing every check not yet printed.
- Load your blank check stock — Bizuno supports top, middle, and bottom check layouts. Pick the one that matches your stock under Admin → Settings → Check Format.
- Confirm the first check number matches the paper check in your printer.
- Click Print. Watch the first one print, then OK the rest.
- If a check misprints, mark it Void-Reprint in Bizuno — the voided check number stays in the audit trail, the next sequential number is used for the reprint.
Important: Every check number is precious. If a check jams or prints illegibly, do not re-feed the same paper check number back into the printer — mark the number as Void and print the next one. Your bank will reject a check with a number your register says was issued elsewhere.
Partial payments #
Enter a partial amount in Amount to Pay. The bill stays open with the remaining balance visible next time you run Pay Bills.
Applying vendor credits #
When a vendor credit memo is open, use payment method Vendor Credit Applied. Pick the bills to offset; the credit memos balance them with $0 cash moving.
ACH setup #
To enable ACH payments:
- Under Admin → Settings → ACH, enter your company’s routing and account info plus your bank’s ACH company ID.
- On each vendor record (Options tab), tick Enable ACH and enter the vendor’s routing and account numbers.
- After the next Pay Bills with method ACH, Bizuno outputs a NACHA file. Upload it to your bank’s ACH portal.
Tips for Ridgeline Cycles #
- Run Pay Bills on a fixed weekday (Fridays works for most shops) — vendors learn when to expect checks, and your cash planning tightens.
- Take every legitimate early-pay discount — 2/10 Net 30 is 36% annualized. Don’t leave that on the table.
- Group payments by bank account — pay big expense vendors from your main checking, small recurring ones from a service-level checking if you use one.
- Sign checks in batches; don’t let anyone leave signed but unmailed checks on a desk.
Where to go next #
- Reconciliation — match checks to the bank statement as they clear.
- Vendor Reports → Aged Payables — preview what Pay Bills will offer next week.
- Vendor Refund — handle the other direction (a refund you received).