Releasing multiple receipts records
- Access Mass Release (CB150).
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Specify basic parameters using these guidelines to specify the field values:
- Cash Code or Cash Code Group
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Specify or select a valid cash code or cash code group. This represents the bank account where you are releasing transactions.
- System Date or Enter Date
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Select Yes to use the system date, or select No and specify a date for releasing transactions in the Enter Date field.
For Receipts, the program will release records with a Deposit Date that is equal to or within the date range specified.
For Return Payments, the program will release records with a Return Date that is equal to or within the date range specified.
For EFT, the program will release records with a Trans Date that is equal to or within the date range specified.
- Days
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(Optional) You can specify a number of days to create a date range. This is the number of days from the system date or enter date to release transactions.
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Specify receipts information using these guidelines to specify the field values:
- Release Cash Receipts
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Select Yes to release cash receipts.
- Tran Code
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(Optional) You can limit the receipts to process by choosing a transaction code.
- Source Code
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(Optional) You can limit the receipts to process by choosing a source code (where the transaction was created).
- Release Returned Payments
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Select Yes to release returned payments.
- Release EFT/CC Extracts
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Select Yes to release EFT or credit card extracts.
- EFT Extract Prenotification
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You can change the prenotification status by selecting one of these options:
- Not prenotified to Accepted (N)
- Prenotified to Accepted (P)
- Both prenotified and not prenotified to Accepted (B)
- Select an Update option. If you select Yes, then transactions will update to Release status. If you select No, then the program creates a listing only.