Creating returned payment imports
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Sign in as Cash Accountant and select .
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Click Create.
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Specify this information:
- Run Group
- Specify a run group of transactions to
interface.
- Cash Code
- Specify a cash code.
- Bank Transaction Code
- Specify a bank transaction code.
- Transaction Number
- Specify a unique transaction number for the record.
- Sequence Number
- Specify the sequence number of the
distributions.
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On the Return Information tab, specify this information:
- Company
- Specify a company for which to return the payment.
- Description
- Provide a description.
- Return Date
- Specify the date that the payment will be returned.
- Post Date
- Specify the date that the returned payment will be
posted.
- Status
- Select the status of the returned
payment.
- Event Code
- Select an event code to filter the payment
records. An event code is a two-character code that is assigned to a
transaction. The code is used to identify where the transaction was
created.
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Specify the required information on these tabs:
- Deposit
Information
- Service
Charge
- Transaction
- Distribution
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Click Save.